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The Paleogene latitude of the Lhasa terrane (southern Tibet) can constrain the age of the onset of the India-Asia collision. Estimates for this latitude, however, vary from 5 degrees N to 30 degrees N, and thus, here, we reassess the geochronology and paleomagnetism of Paleogene volcanic rocks from the Linzizong Group in the Linzhou basin. The lower and upper parts of the section previously yielded particularly conflicting ages and paleolatitudes. We report consistent Ar-40/Ar-39 and U-Pb zircon dates of similar to 52Ma for the upper Linzizong, and Ar-40/Ar-39 dates (similar to 51Ma) from the lower Linzizong are significantly younger than U-Pb zircon dates (64-63Ma), suggesting that the lower Linzizong was thermally and/or chemically reset. Paleomagnetic results from 24 sites in lower Linzizong confirm a low apparent paleolatitude of similar to 5 degrees N, compared to the upper part (similar to 20 degrees N) and to underlying Cretaceous strata (similar to 20 degrees N). Detailed rock magnetic analyses, end-member modeling of magnetic components, and petrography from the lower and upper Linzizong indicate widespread secondary hematite in the lower Linzizong, whereas hematite is rare in upper Linzizong. Volcanic rocks of the lower Linzizong have been hydrothermally chemically remagnetized, whereas the upper Linzizong retains a primary remanence. We suggest that remagnetization was induced by acquisition of chemical and thermoviscous remanent magnetizations such that the shallow inclinations are an artifact of a tilt correction applied to a secondary remanence in lower Linzizong. We estimate that the Paleogene latitude of Lhasa terrane was 204 degrees N, consistent with previous results suggesting that India-Asia collision likely took place by similar to 52Ma at similar to 20 degrees N.
Climate change will alter the forces of predation and competition in temperate ectotherm food webs. This may increase local extinction rates, change the fate of invasions and impede species reintroductions into communities. Invasion success could be modulated by traits (e.g., defenses) and adaptations to climate. We studied how different temperatures affect the time until extinction of species, using bitrophic and tritrophic planktonic food webs to evaluate the relative importance of predatory overexploitation and competitive exclusion, at 15 and 25 A degrees C. In addition, we tested how inclusion of a subtropical as opposed to a temperate strain in this model food web affects times until extinction. Further, we studied the invasion success of the temperate rotifer Brachionus calyciflorus into the planktonic food web at 15 and 25 A degrees C on five consecutive introduction dates, during which the relative forces of predation and competition differed. A higher temperature dramatically shortened times until extinction of all herbivore species due to carnivorous overexploitation in tritrophic systems. Surprisingly, warming did not increase rates of competitive exclusion among the tested herbivore species in bitrophic communities. Including a subtropical herbivore strain reduced top-down control by the carnivore at high temperature. Invasion attempts of temperate B. calyciflorus into the food web always succeeded at 15 A degrees C, but consistently failed at 25 A degrees C due to voracious overexploitation by the carnivore. Pre-induction of defenses (spines) in B. calyciflorus before the invasion attempt did not change its invasion success at the high temperature. We conclude that high temperatures may promote local extinctions in temperate ectotherms and reduce their chances of successful recovery.
Individual great earthquakes are posited to release the elastic strain energy that has accumulated over centuries by the gradual movement of tectonic plates(1,2). However, knowledge of plate deformation during a complete seismic cycle-two successive great earthquakes and the intervening interseismic period-remains incomplete(3). A complete seismic cycle began in south-central Chile in 1835 with an earthquake of about magnitude 8.5 (refs 4,5) and ended in 2010 with a magnitude 8.8 earthquake(6). During the first earthquake, an uplift of Isla Santa Maria by 2.4 to 3m was documented(4,5). In the second earthquake, the island was uplifted(7) by 1.8 m. Here we use nautical surveys made in 1804, after the earthquake in 1835 and in 1886, together with modern echo sounder surveys and GPS measurements made immediately before and after the 2010 earthquake, to quantify vertical deformation through the complete seismic cycle. We find that in the period between the two earthquakes, Isla Santa Maria subsided by about 1.4 m. We simulate the patterns of vertical deformation with a finite-element model and find that they agree broadly with predictions from elastic rebound theory(2). However, comparison with geomorphic and geologic records of millennial coastline emergence(8,9) reveal that 10-20% of the vertical uplift could be permanent.
Siberian arctic vegetation and lake water communities, known for their temperature dependence, are expected to be particularly impacted by recent climate change and high warming rates. However, decadal information on the nature and strength of recent vegetation change and its time lag to climate signals are rare. In this study, we present a Pb-210/Cs-137 dated pollen and Pediastrum species record from a unnamed lake in the south of the Taymyr peninsula covering the period from AD 1706 to 2011. Thirty-nine palynomorphs and 10 morphotypes of Pediastrum species were studied to assess changes in vegetation and lake conditions as probable responses to climate change. We compared the pollen record with Pediastrum species, which we consider to be important proxies of climate changes. Three pollen assemblage zones characterised by Betula nana, Alnus viridis and Larix gmelinii (1706-1808); herbs such as Cyperaceae, Artemisia or Senecio (1808-1879), and higher abundance of Larix pollen (1955-2011) are visible. Also, three Pediastrum assemblage zones show changes of aquatic conditions: higher abundances of Pediastrum boryanum var. brevicorne (1706-1802); medium abundances of P. kawraiskyi and P. integrum (1802-1840 and 1920-1980), indicating cooler conditions while less eutrophic conditions are indicated by P. boryanum, and a mainly balanced composition with only small changes of cold- and warm-adapted Pediastrum species (1965-2011). In general, compositional Pediastrum species turnover is slightly higher than that indicated by pollen data (0.54 vs 0.34 SD), but both are only minor for this treeline location. In conclusion, the relevance of differentiation of Pediastrum species is promising and can give further insights into the relationship between lakes and their surrounding vegetation transferred onto climatic conditions.
We present the first image of the Madeira upper crustal structure, using ambient seismic noise tomography. 16 months of ambient noise, recorded in a dense network of 26 seismometers deployed across Madeira, allowed reconstructing Rayleigh wave Green's functions between receivers. Dispersion analysis was performed in the short period band from 1.0 to 4.0 s. Group velocity measurements were regionalized to obtain 20 tomographic images, with a lateral resolution of 2.0 km in central Madeira. Afterwards, the dispersion curves, extracted from each cell of the 2D group velocity maps, were inverted as a function of depth to obtain a 3D shear wave velocity model of the upper crust, from the surface to a depth of 2.0 km. The obtained 3D velocity model reveals features throughout the island that correlates well with surface geology and island evolution. (C) 2015 Elsevier B.V. All rights reserved.
The architecture of coastal sequences in tectonically-active regions results mostly from a combination of sea-level and land-level changes. The objective of this study is to unravel these signals by combining sequence stratigraphy and sedimentology of near-shore sedimentary sequences in wave-built terraces. We focus on Santa Maria Island at the south-central Chile margin, which hosts excellent exposures of coastal sediments from Marine Isotope Stage 3. A novel method based on statistical analysis of grain-size distributions coupled with fades descriptions provided a detailed account of transgressive-regressive cycles. Radiocarbon ages from paleosols constrain the chronology between >53 and similar to 31 cal ka BP. Because the influence of glaciations can be neglected, we calculated relative sea-level curves by tying the onset of deposition on a bedrock abrasion platform to a global sea-level curve. The observed depositional cycles match those predicted for uplift rates between 1.2 and 1.8 m/ka. The studied sedimentary units represent depositional cycles that resulted in reoccupation events of an existing marine terrace. Our study demonstrates wave-built marine terrace deposits along clastic shorelines in temperate regions can be used to distinguish between tectonic uplift and climate-induced sea-level changes.
Understanding the rates and pattern of erosion is a key aspect of deciphering the impacts of climate and tectonics on landscape evolution. Denudation rates derived from terrestrial cosmogenic nuclides (TCNs) are commonly used to quantify erosion and bridge tectonic (Myr) and climatic (up to several kiloyears) time scales. However, how the processes of erosion in active orogens are ultimately reflected in Be-10 TCN samples remains a topic of discussion. We investigate this problem in the Arun Valley of eastern Nepal with 34 new Be-10-derived catchment-mean denudation rates. The Arun Valley is characterized by steep north-south gradients in topography and climate. Locally, denudation rates increase northward, from <0.2mmyr(-1) to similar to 1.5mmyr(-1) in tributary samples, while main stem samples appear to increase downstream from similar to 0.2mmyr(-1) at the border with Tibet to 0.91mmyr(-1) in the foreland. Denudation rates most strongly correlate with normalized channel steepness (R-2=0.67), which has been commonly interpreted to indicate tectonic activity. Significant downstream decrease of Be-10 concentration in the main stem Arun suggests that upstream sediment grains are fining to the point that they are operationally excluded from the processed sample. This results in Be-10 concentrations and denudation rates that do not uniformly represent the upstream catchment area. We observe strong impacts on Be-10 concentrations from local, nonfluvial geomorphic processes, such as glaciation and landsliding coinciding with areas of peak rainfall rates, pointing toward climatic modulation of predominantly tectonically driven denudation rates.
In this paper we report on a series of replicated tracer experiments with deuterium conducted under controlled, steady stormflow conditions at the Gardsjon G1 catchment in south-western Sweden. In five different years, these experiments were carried out in a subcatchment of G1. Deuterium was applied as a narrow pulse so that distributions of water transit times could be directly inferred from the observed tracer breakthrough curves. Significantly different transit times of water were observed under similar experimental conditions. Coefficients of variation for estimated mean transit times were greater than 60%, which can be understood as a measure of the interannual variability for this type of experiments. Implications for water transit times under more natural flow conditions as wells as for future experimentation are discussed. Copyright (c) 2015 John Wiley & Sons, Ltd.
Earthquakes impart an impressive force on epicentral landscapes, with immediate catastrophic hillslope response. However, their legacy on geomorphic process rates remains poorly constrained. We have determined the evolution of landslide rates in the epicentral areas of four intermediate to large earthquakes (M-w, 6.6-7.6). In each area, landsliding correlates with the cumulative precipitation during a given interval. Normalizing for this meteorological forcing, landslide rates have been found to peak after an earthquake and decay to background values in 1-4 yr, with the decay time scale probably proportional to the earthquake magnitude. The transient pulse of landsliding is not related to external forcing such as rainfall or aftershocks, and we tentatively attribute it to the reduction and subsequent recovery of ground strength. Observed geomorphic trends are not linked with groundwater level changes or root system damage, both of which could affect substrate strength. We propose that they are caused by reversible damage of rock mass and/or loosening of regolith. Qualitative accounts of ground cracking due to strong ground motion abound, and our observations are circumstantial evidence of its potential importance in setting landscape sensitivity to meteorological forcing after large earthquakes.
Ground-penetrating radar (GPR) is an established geophysical method to explore near-surface sedimentary environments. Interpreting GPR images is largely based on manual procedures following concepts known as GPR facies analysis. We have developed a novel strategy to distinguish GPR facies in a largely automated and more objective manner. First, we calculate 13 textural attributes to quantify GPR reflection characteristics. Then, this database is reduced using principal component analysis. Finally, we image the dominating principal components using composite imaging and classify them using standard clustering methods. The potential of this work-flow is evaluated using a 2D GPR field example collected across stratified glaciofluvial deposits. Our results demonstrate that the derived facies images are well correlated with the composition and the porosity of the sediments as known from independent borehole logs. Our analysis strategy eases and improves the interpretability of GPR data and will help in a variety of geologic and hydrological problems.
Topographic migration of 2D and 3D ground-penetrating radar data considering variable velocities
(2015)
We present a 2D/3D topographic migration scheme for ground-penetrating radar (GPR) data which is able to account for variable velocities by using the root mean square (rms) velocity approximation. We test our migration scheme using a synthetic 2D example and compare our migrated image to the results obtained using common GPR migration approaches. Furthermore, we apply it to 2D and 3D field data. These examples are recorded across common subsurface settings including surface topography and variations in the GPR subsurface velocity field caused by a shallow ground water table. In such field settings, our migration strategy provides well focused images of commonoffset GPR data without the need for a detailed interval velocity model. The synthetic and field examples demonstrate that our topographic migration scheme allows for accurate GPR imaging in the presence of variations in surface topography and subsurface velocity.
Albian-Turonian subduction-accretionary complexes are exposed widely in the Central Pontides. A major portion of the accretionary complexes is made up of a metaflysch sequence consisting of slate/phyllite and metasandstone intercalation with blocks of marble, Na-amphibole bearing metabasite, and serpentinite. The metaflysch sequence represents distal parts of a large Lower Cretaceous submarine turbidite fan deposited on the Laurasian active continental margin that was subsequently accreted and metamorphosed during the Albian. Raman spectra of carbonaceous material of the metapelitic rocks revealed that the metaflysch consists of metamorphic packets with distinct peak metamorphic temperatures. The majority of the metapelites are low-temperature (ca. 330 degrees C) slates characterized by lack of differentiation of the graphite (G) and D2 defect bands. They possibly represent offscraped distal turbidites along the toe of the Albian accretionary wedge. Other phyllites are characterized by a slightly pronounced G band with a D2 defect band occurring on its shoulder. Peak metamorphic temperatures of these phyllites are constrained to 370-385 degrees C. The phyllites are associated with a strip of incipient blueschist facies metabasites and are found as a sliver within the offscraped distal turbidites. We interpret the phyllites as underplated continental sediments together with oceanic crustal basalt along the basal decollement. Tectonic emplacement of the underplated rocks into the offscraped distal turbidites was possibly achieved by out-of-sequence thrusting causing tectonic thickening and uplift of the wedge.
On 2012 August 11, a pair of large, damaging earthquakes struck the Varzaghan-Ahar region in northwest Iran, in a region where there was no major mapped fault or any well-documented historical seismicity. To investigate the active tectonics of the source region we applied a combination of seismological methods (local aftershock network, calibrated multiple event relocation and focal mechanism studies), field observations (structural geology and geomorphological) and inversions for the regional stress field. The epicentral region is north of the North Tabriz Fault. The first main shock is characterized by right-lateral strike-slip motion on an almost E-W fault plane of about 23 km length extending from the surface to a depth of about 14 km. The second main shock occurred on an ENE-striking fault that dips at 60-70A degrees to the NW. Independent inversions of focal mechanisms and geologically determined fault kinematic data for the active stress state yield a transpressional tectonic regime with sigma(1) oriented N132E. For the region northeast of the North Tabriz Fault, the presence of rigid lithosphere of the South Caspian Basin implies the kinematic adjustment by northward transferring of the contracted masses through both distributed deformation and structural deflections. Our results suggest that the kinematic adjustment inside a contracting wedge may occur along interacting crosswise or conjugate faults to accommodate low rates of internal deformation. At a global scale, our results indicate that despite the basic assumption of 'rigid blocks' in geodetic plate modelling, internal deformation of block-like regions could control the kinematics of deformation and the level of seismic hazard within and around such regions of low deformation rate.
In the present study, we report the results of comprehensive amino acid (AA) analyses of four Indian lakes from different climate regimes. We focus on the investigation of sediment cores retrieved from the lakes but data of modern sediment as well as vascular plant, soil, and suspended particulate matter samples from individual lakes are also presented. Commonly used degradation and organic matter source indices are tested for their applicability to the lake sediments, and we discuss potential reasons for possible limitations. A principal component analysis including the monomeric AA composition of organic matter of all analysed samples indicates that differences in organic matter sources and the environmental properties of the individual lakes are responsible for the major variability in monomeric AA distribution of the different samples. However, the PCA also gives a factor that most probably separates the samples according to their state of organic matter degradation. Using the factor loadings of the individual AA monomers, we calculate a lake sediment degradation index (LI) that might be applicable to other palaeo-lake investigations. (C) 2015 Elsevier Ltd. All rights reserved.
Biogenic silicon (BSI) pools influence Si cycling in terrestrial ecosystems. As research has been focused mainly on phytogenic BSi pools until now, there is only little information available on quantities of other BSi pools. There are no systematic studies on protozoic Si pools - here represented by idiosomic testate amoebae (TA) - and abiotic and biotic influences in temperate forest ecosystems. We selected ten old forests along a strong gradient in soil forming factors (especially parent material and climate), soil properties and humus forms. We quantified idiosomic Si pools, corresponding annual biosilicification, plant-available and amorphous Si fractions of topsoil horizons. Furthermore, we analyzed the potential influences of abiotic factors (e.g. soil pH) and earthworms on idiosomic Si pools.
While idiosomic Si pools were relatively small (up to 5 kg Si ha(-1)), annual biosilicification rates of living TA (17-80 kg Si ha(-1)) were comparable to or even exceeded reported data of annual Si uptake by trees. Soil pH exerted a strong, non-linear control on plant-available Si. Surprisingly, no relationship between Si supply and idiosomic Si pools could be found (no Si limitation). Instead, idiosomic Si pools showed a strong, negative relationship to earthworm biomasses, which corresponded to humus forms. We concluded that earthworms control idiosomic Si pools in forest soils by direct (feeding, competition) and/or indirect mechanisms (e.g. change of habitat structure). Earthworms themselves were strongly influenced by soil pH: Below a threshold of pH 3.8 no endogeic or anecic earthworms existed. As soil pH is a result of weathering and acidification idiosomic Si pools are indirectly, but ultimately controlled by soil forming factors, mainly parent material and climate. (C) 2014 Elsevier B.V. All rights reserved.
The periglacial engine of mountain erosion - Part 2: Modelling large-scale landscape evolution
(2015)
There is growing recognition of strong periglacial control on bedrock erosion in mountain landscapes, including the shaping of low-relief surfaces at high elevations (summit flats). But, as yet, the hypothesis that frost action was crucial to the assumed Late Cenozoic rise in erosion rates remains compelling and untested. Here we present a landscape evolution model incorporating two key periglacial processes - regolith production via frost cracking and sediment transport via frost creep - which together are harnessed to variations in temperature and the evolving thickness of sediment cover. Our computational experiments time-integrate the contribution of frost action to shaping mountain topography over million-year timescales, with the primary and highly reproducible outcome being the development of flattish or gently convex summit flats. A simple scaling of temperature to marine delta O-18 records spanning the past 14 Myr indicates that the highest summit flats in mid-to high-latitude mountains may have formed via frost action prior to the Quaternary. We suggest that deep cooling in the Quaternary accelerated mechanical weathering globally by significantly expanding the area subject to frost. Further, the inclusion of subglacial erosion alongside periglacial processes in our computational experiments points to alpine glaciers increasing the long-term efficiency of frost-driven erosion by steepening hillslopes.
With accelerating climate cooling in the late Cenozoic, glacial and periglacial erosion became more widespread on the surface of the Earth. The resultant shift in erosion patterns significantly changed the large-scale morphology of many mountain ranges worldwide. Whereas the glacial fingerprint is easily distinguished by its characteristic fjords and U-shaped valleys, the periglacial fingerprint is more subtle but potentially prevails in some mid- to high-latitude landscapes. Previous models have advocated a frost-driven control on debris production at steep headwalls and glacial valley sides. Here we investigate the important role that periglacial processes also play in less steep parts of mountain landscapes. Understanding the influences of frost-driven processes in low-relief areas requires a focus on the consequences of an accreting soil mantle, which characterises such surfaces. We present a new model that quantifies two key physical processes: frost cracking and frost creep, as a function of both temperature and sediment thickness. Our results yield new insights into how climate and sediment transport properties combine to scale the intensity of periglacial processes. The thickness of the soil mantle strongly modulates the relation between climate and the intensity of mechanical weathering and sediment flux. Our results also point to an offset between the conditions that promote frost cracking and those that promote frost creep, indicating that a stable climate can provide optimal conditions for only one of those processes at a time. Finally, quantifying these relations also opens up the possibility of including periglacial processes in large-scale, long-term landscape evolution models, as demonstrated in a companion paper.
We present ostracod data from the Middle Palaeolithic open air site of Nahal Mahanayeem Outlet (NMO) at the southern edge of the Hula Basin, northern Israel.
Sediments of two Pleistocene water bodies are exposed at the site. The first one is an archaeologically sterile, light-colored limnic carbonate with an Early Pleistocene age. It contains an ostracod fauna assemblage dominated by Candona neglecta, Candonopsis kingsleii, and Pseudocandona sp., and, in minor abundances, Cypria ophtalmica, Cyprideis sp., Humphcypris sp., Fabaeformiscandona cf. fabaeformis and Ilyocypris sp. These sediments were deposited in a shallow, freshwater to oligohaline lake under stable conditions.
Sediments of the second water body are silty and dark-colored with a depositional age of 65 ka, belonging to the Late Pleistocene Ashmura Formation. The unit covers a geologically complex topography of tectonically uplifted limnic deposits and a hill-like gravel bar at the site. The most important archaeological layer is situated at its base, containing a lithic assemblage ascribed primarily to the Middle Palaeolithic Mousterian tradition and very well preserved flora and fauna. In the sediments from the archaeological layers, the brackish water ostracod Cyprideis torosa and the foraminifer Ammonia tepida could be identified. In sediments of the Ashmura Formation taken near the site, C. neglecta, Candona angulata, Ilyogpris sp., C kingsleii, Pseudocandona sp., C ophtalmica, Darwinula stevensoni, Trajancypris sp. and Potamogpris smaragdina were found, indicating a freshwater to slightly oligohaline stagnant water body. The ostracod fauna of the NMO site, together with geochemical data, allow us to reconstruct a depositional environment of the margin at a shallow lake with brackish or saline springs nearby during the site's occupation by Middle Palaeolithic humans.
Additionally, Candona weltneri, Candona cf. meerfeldiana, C kingsleii, Cyclocypris laevis, C ophtalmica, Cyprideis sp., Fabaeformiscandona cf. fabaeformis, P. smaragdina, Pseudocandona depressa, Trajancypris sp, Zonocypris cf. costata and A. tepida could be recorded for the first time for the Pleistocene limnic strata of the Hula Basin. (C) 2014 Elsevier Ltd. All rights reserved.
The idea that climatically modulated erosion may impact orogenic processes has challenged geoscientists for decades. Although modeling studies and physical calculations have provided a solid theoretical basis supporting this interaction, to date, field-based work has produced inconclusive results. The central-western Alborz Mountains in the northern sectors of the Arabia-Eurasia collision zone constitute a promising area to explore these potential feedbacks. This region is characterized by asymmetric precipitation superimposed on an orogen with a history of spatiotemporal changes in exhumation rates, deformation patterns, and prolonged, km-scale base-level changes. Our analysis suggests that despite the existence of a strong climatic gradient at least since 17.5 Ma, the early orogenic evolution (from similar to 36 to 9-6 Ma) was characterized by decoupled orographic precipitation and tectonics. In particular, faster exhumation and sedimentation along the more arid southern orogenic flank point to a north-directed accretionary flux and underthrusting of Central Iran. Conversely, from 6 to 3 Ma, erosion rates along the northern orogenic flank became higher than those in the south, where they dropped to minimum values. This change occurred during a similar to 3-Myr-long, km-scale base-level lowering event in the Caspian Sea. We speculate that mass redistribution processes along the northern flank of the Alborz and presumably across all mountain belts adjacent to the South Caspian Basin and more stable areas of the Eurasian plate increased the sediment load in the basin and ultimately led to the underthrusting of the Caspian Basin beneath the Alborz Mountains. This underthrusting in turn triggered a new phase of northward orogenic expansion, transformed the wetter northern flank into a new pro-wedge, and led to the establishment of apparent steady-state conditions along the northern orogenic flank (i.e., rock uplift equal to erosion rates). Conversely, the southern mountain front became the retro-wedge and experienced limited tectonic activity. These observations overall raise the possibility that mass-distribution processes during a pronounced erosion phase driven by base-level changes may have contributed to the inferred regional plate-tectonic reorganization of the northern Arabia-Eurasia collision during the last similar to 5 Ma. (C) 2015 Elsevier B.V. All rights reserved.
The recently proposed global monsoon hypothesis interprets monsoon systems as part of one global-scale atmospheric overturning circulation, implying a connection between the regional monsoon systems and an in-phase behaviour of all northern hemispheric monsoons on annual timescales (Trenberth et al., 2000). Whether this concept can be applied to past climates and variability on longer timescales is still under debate, because the monsoon systems exhibit different regional characteristics such as different seasonality (i. e. onset, peak and withdrawal). To investigate the interconnection of different monsoon systems during the pre-industrial Holocene, five transient global climate model simulations have been analysed with respect to the rainfall trend and variability in different sub-domains of the Afro-Asian monsoon region. Our analysis suggests that on millennial timescales with varying orbital forcing, the monsoons do not behave as a tightly connected global system. According to the models, the Indian and North African monsoons are coupled, showing similar rainfall trend and moderate correlation in centennial rainfall variability in all models. The East Asian monsoon changes independently during the Holocene. The dissimilarities in the seasonality of the monsoon sub-systems lead to a stronger response of the North African and Indian monsoon systems to the Holocene insolation forcing than of the East Asian monsoon and affect the seasonal distribution of Holocene rainfall variations. Within the Indian and North African monsoon domain, precipitation solely changes during the summer months, showing a decreasing Holocene precipitation trend. In the East Asian monsoon region, the precipitation signal is determined by an increasing precipitation trend during spring and a decreasing precipitation change during summer, partly balancing each other. A synthesis of reconstructions and the model results do not reveal an impact of the different seasonality on the timing of the Holocene rainfall optimum in the different sub-monsoon systems. Rather they indicate locally inhomogeneous rainfall changes and show that single palaeo-records should not be used to characterise the rainfall change and monsoon evolution for entire monsoon sub-systems.
Weather radar analysis has become increasingly sophisticated over the past 50 years, and efforts to keep software up to date have generally lagged behind the needs of the users. We argue that progress has been impeded by the fact that software has not been developed and shared as a community.
Recently, the situation has been changing. In this paper, the developers of a number of open-source software (OSS) projects highlight the potential of OSS to advance radar-related research. We argue that the community-based development of OSS holds the potential to reduce duplication of efforts and to create transparency in implemented algorithms while improving the quality and scope of the software. We also conclude that there is sufficiently mature technology to support collaboration across different software projects. This could allow for consolidation toward a set of interoperable software platforms, each designed to accommodate very specific user requirements.
The Brazilian Cerrado is recognized as one of the most threatened biomes in the world, as the region has experienced a striking change from natural Cerrado vegetation to intense cash crop production. This paper reviews the history of land conversion in the Cerrado and the development of soil properties and water resources under past and ongoing land use. We compared soil and water quality parameters from different land uses considering 80 soil and 18 water studies conducted in different regions across the Cerrado to provide quantitative evidence of soil and water alterations from land use change.
Following the conversion of native Cerrado, significant effects on soil pH, bulk density and available P and K for croplands and less-pronounced effects on pastures were evident. Soil total N did not differ between land uses because most of the sites classified as croplands were nitrogen-fixing soybeans, which are not artificially fertilized with N. In contrast, water quality studies showed nitrogen enrichment in agricultural catchments, indicating fertilizer impacts and potential susceptibility to eutrophication. Regardless of the land use, P is widely absent because of the high-fixing capacities of deeply weathered soils and the filtering capacity of riparian vegetation. Pesticides, however, were consistently detected throughout the entire aquatic system. In several case studies, extremely high-peak concentrations exceeded Brazilian and European Union (EU) water quality limits, which were potentially accompanied by serious health implications. Land use intensification is likely to continue, particularly in regions where less annual rainfall and severe droughts are projected in the northeastern and western Cerrado. Thus, the leaching risk and displacement of agrochemicals are expected to increase, particularly because the current legislation has caused a reduction in riparian vegetation. We conclude that land use intensification is likely to seriously limit the Cerrado's future regarding both agricultural productivity and ecosystem stability. Because only limited data are available, we recommend further field studies to understand the interaction between terrestrial and aquatic systems. This study may serve as a valuable database for integrated modelling to investigate the impact of land use and climate change on soil and water resources and to test and develop mitigation measures for the Cerrado. Copyright (C) 2014 John Wiley & Sons, Ltd.
On 11 August 2012 an earthquake doublet (M-w 6.4 and 6.2) occurred near the city of Ahar, northwest Iran. Both events were only 6 km and 11 minutes apart, producing a surface rupture of about 12 km in length. Historical and modern seismicity has so far been sparse in this area. Spatially, the region represents a transitional zone between different tectonic domains, including compression in Iran, westward extrusion of the Anatolian plate, and thrusting beneath the Caucasus.
In this study, we inverted the surface waveforms of the two mainshocks and 11 aftershocks (M-w >= 4.3) to obtain regional seismic moment tensors. The earthquakes analyzed can be grouped into pure strike slip (including the first mainshock) and oblique reverse mechanisms (including the second mainshock). The sequence provides information about faulting mechanisms at the spatial scale of the entire rock volume affected by the earthquake doublet, including coinciding deformation on minor faults (sub) parallel to the main fault and Riedel shears. It occurred on a so far unknown fault structure, which we call the Ahar fault.
Alongside the seismological data, we used geological maps, satellite images, and digital elevation data to analyze the geomorphology of the region. Our analysis suggests that the adjacent North Tabriz fault, which accomodates up to 7 mm/yr of right-lateral strike-slip faulting, does not compensate the entire lateral shear strain, and that part of it is compensated farther north. Combined, our results suggest a temporally and spatially complex style of deformation (reverse and strike slip) overprinting older reverse deformation.
We have studied the focal mechanism of an M-w 4.0 earthquake that occurred on 8 October 2011 in the southwest of El Hierro (Canary Islands), the largest shock of the swarm that preceded the submarine eruption of El Hierro 2011-2012. The joint focal mechanism solution of 34 foreshocks has also been obtained. The results for the mainshock are consistent with a pure double-couple mechanism of a strike-slip motion with a reverse component and a focal depth of 12-13 km. The stress pattern obtained from the focal mechanism indicates horizontal compression in a north-northwest-south-southeast direction, parallel to the southern ridge of the island, and a quasi-horizontal extension in an east-west direction. Similar stress pattern is derived from the joint solution of the foreshocks. The occurrence of this family of earthquakes at the moment of the maximum strain rate of the pre-eruptive swarm suggests that their rupture process is related to tectonic stress, which led to the eruption only two days later, 5 km away from the mainshock epicenter.
We hypothesized that at the very beginning of terrestrial ecosystem development, airborne testate amoebae play a pivotal role in facilitating organismic colonization and related soil processes. We, therefore, analyzed size and quantity of airborne testate amoebae and immigration and colonization success of airborne testate amoebae on a new land surface (experimental site "Chicken Creek", artificial post-mining water catchment). Within an altogether 91-day exposure of 70 adhesive traps, 12 species of testate amoebae were identified to be of airborne origin. Phryganella acropodia (51% of all individuals found, diameter about 35-45 mu m) and Centropyxis sphagnicola (23% of all individuals found, longest axis about 55-68 mu m), occurred most frequently in the adhesive traps. We extrapolated an aerial amoeba deposition of 61 individuals d(-1) m(-2) (living and dead individuals combined). Although it would be necessary to have a longer sequence (some additional years), our analysis of the "target substrate" of aerial immigration (catchment site) may point to a shift from a stochastic (variable) beginning of community assembly to a more deterministic (stable) course. This shift was assigned to an age of seven years of initial soil development. Although experienced specialists are necessary to conduct these time-consuming studies, the presented data suggest that terrestrial amoebae are suitable indicators for initial ecosystem development and utilization.
Hydrology is rich in methods that use information theory to evaluate monitoring networks. Yet in most existing studies, only the available data set as a whole is used, which neglects the intraannual variability of the hydrological system. In this paper, we demonstrate how this variability can be considered by extending monitoring evaluation to subsets of the available data. Therefore, we separately evaluated time windows of fixed length, which were shifted through the data set, and successively extended time windows. We used basic information theory measures and a greedy ranking algorithm based on the criterion of maximum information/minimum redundancy. The network investigated monitored surface and groundwater levels at quarter-hourly intervals and was located at an artificially drained lowland site in the Spreewald region in north-east Germany. The results revealed that some of the monitoring stations were of value permanently while others were needed only temporally. The prevailing meteorological conditions, particularly the amount of precipitation, affected the degree of similarity between the water levels measured. The hydrological system tended to act more individually during periods of no or little rainfall. The optimal monitoring setup, its stability, and the monitoring effort necessary were influenced by the meteorological forcing. Altogether, the methodology presented can help achieve a monitoring network design that has a more even performance or covers the conditions of interest (e.g., floods or droughts) best.
In this study we use the anisotropy of magnetic susceptibility (AMS) and paleomagnetic data for deciphering the origin of magnetic lineation in weakly deformed sedimentary rocks and for evaluating oroclinal processes within the Arabia-Eurasia collision zone. In particular, we have analyzed the Miocene Upper Red Formation (URF) from the outer curved front of the southern Central Alborz Mountains of north Iran, to test for the first time with paleomagnetic data the origin (primary versus secondary) of this orogenic arc. AMS data document the existence of a magnetic lineation parallel to the orientation of the major tectonic structures, which vary along strike from WNW to ENE. These directions are highly oblique to the paleoflow directions and hence suggest that the magnetic lineation in the URF was produced by compressional deformation during layer-parallel shortening. In addition, our paleomagnetic data document clockwise and anticlockwise rotations along vertical axis for the western and eastern sectors of the Central Alborz Mountains, respectively. Combined, our results suggest that the orogen represents an orocline, which formed not earlier than circa 7.6Ma most likely through bending processes caused by the relative motion between the rigid crustal blocks of the collision zone. Moreover, our study provides new insights into the Iran-Southern Caspian Basin kinematic evolution suggesting that the present-day SW motion of the South Caspian Basin with respect to Central Iran postdates oroclinal bending and hence cannot be as old as late Miocene to early Pliocene but a rather recent configuration (i.e., 3 to <1Ma).
The topographic signature of a mountain belt depends on the interplay of tectonic, climatic and erosional processes, whose relative importance changes over times, while quantifying these processes and their rates at specific times remains a challenge. The eastern Andes of central Bolivia offer a natural laboratory in which such interplay has been debated. Here, we investigate the Rio Grande catchment which crosses orthogonally the eastern Andes orogen from the Eastern Cordillera into the Subandean Zone, exhibiting a catchment relief of up to 5000 m. Despite an enhanced tectonic activity in the Subandes, local relief, mean and modal slopes and channel steepness indices are largely similar compared to the Eastern Cordillera and the intervening Interandean Zone. Nevertheless, a dataset of 57 new cosmogenic 10Be and 26AI catchment wide denudation rates from the Rio Grande catchment reveals up to one order of magnitude higher denudation rates in the Subandean Zone (mean 0.8 mm/yr) compared to the upstream physiographic regions. We infer that tectonic activity in the thrusting dominated Subandean belt causes higher denudation rates based on cumulative rock uplift investigations and due to the absence of a pronounced climate gradient. Furthermore, the lower rock strength of the Subandean sedimentary units correlates with mean slopes similar to the ones of the Eastern Cordillera and Interandean Zone, highlighting the fact, that lithology and rock strength can control high denudation rates at low slopes.
Low denudation rates measured at the outlet of the Rio Grande catchment (Abapo) are interpreted to be a result of a biased cosmogenic nuclide mixing that is dominated by headwater signals from the Eastern Cordillera and the Interandean zone and limited catchment sediment connectivity in the lower river reaches. Therefore, comparisons of short- (i.e., sediment yield) and millennial denudation rates require caution when postulating tectonic and/or climatic forcing without detailed studies. (C) 2015 The Authors. Published by Elsevier B.V.
We study segregation of the subducted oceanic crust (OC) at the core-mantle boundary and its ability to accumulate and form large thermochemical piles (such as the seismically observed Large Low Shear Velocity Provinces (LLSVPs)). Our high-resolution numerical simulations of thermochemical mantle convection suggest that the longevity of LLSVPs for up to three billion years, and possibly longer, can be ensured by a balance in the rate of segregation of high-density OC material to the core-mantle boundary (CMB) and the rate of its entrainment away from the CMB by mantle upwellings. For a range of parameters tested in this study, a large-scale compositional anomaly forms at the CMB, similar in shape and size to the LLSVPs. Neutrally buoyant thermochemical piles formed by mechanical stirringwhere thermally induced negative density anomaly is balanced by the presence of a fraction of dense anomalous materialbest resemble the geometry of LLSVPs. Such neutrally buoyant piles tend to emerge and survive for at least 3Gyr in simulations with quite different parameters. We conclude that for a plausible range of values of density anomaly of OC material in the lower mantleit is likely that it segregates to the CMB, gets mechanically mixed with the ambient material, and forms neutrally buoyant large-scale compositional anomalies similar in shape to the LLSVPs.
IODP Expedition 340 successfully drilled a series of sites offshore Montserrat, Martinique and Dominica in the Lesser Antilles from March to April 2012. These are among the few drill sites gathered around volcanic islands, and the first scientific drilling of large and likely tsunamigenic volcanic island-arc landslide deposits. These cores provide evidence and tests of previous hypotheses for the composition and origin of those deposits. Sites U1394, U1399, and U1400 that penetrated landslide deposits recovered exclusively seafloor sediment, comprising mainly turbidites and hemipelagic deposits, and lacked debris avalanche deposits. This supports the concepts that i/ volcanic debris avalanches tend to stop at the slope break, and ii/ widespread and voluminous failures of preexisting low-gradient seafloor sediment can be triggered by initial emplacement of material from the volcano. Offshore Martinique (U1399 and 1400), the landslide deposits comprised blocks of parallel strata that were tilted or microfaulted, sometimes separated by intervals of homogenized sediment (intense shearing), while Site U1394 offshore Montserrat penetrated a flat-lying block of intact strata. The most likely mechanism for generating these large-scale seafloor sediment failures appears to be propagation of a decollement from proximal areas loaded and incised by a volcanic debris avalanche. These results have implications for the magnitude of tsunami generation. Under some conditions, volcanic island landslide deposits composed of mainly seafloor sediment will tend to form smaller magnitude tsunamis than equivalent volumes of subaerial block-rich mass flows rapidly entering water. Expedition 340 also successfully drilled sites to access the undisturbed record of eruption fallout layers intercalated with marine sediment which provide an outstanding high-resolution data set to analyze eruption and landslides cycles, improve understanding of magmatic evolution as well as offshore sedimentation processes.
Permafrost inundated since the last glacial maximum is degrading, potentially releasing trapped or stabilized greenhouse gases, but few observations of the depth of ice-bonded permafrost (IBP) below the seafloor exist for most of the arctic continental shelf. We use spectral ratios of the ambient vibration seismic wavefield, together with estimated shear wave velocity from the dispersion curves of surface waves, for estimating the thickness of the sediment overlying the IBP. Peaks in spectral ratios modeled for three-layered 1-D systems correspond with varying thickness of the unfrozen sediment. Seismic receivers were deployed on the seabed around Muostakh Island in the central Laptev Sea, Siberia. We derive depths of the IBP between 3.7 and 20.7m15%, increasing with distance from the shoreline. Correspondence between expected permafrost distribution, modeled response, and observational data suggests that the method is promising for the determination of the thickness of unfrozen sediment.
Ultrahigh-pressure (UHP), coesite-bearing edogites in the Himalaya have been documented from the Kaghan Valley in Pakistan and the Tso Morani area in northwest India. These complexes are part of the northern edge of the Indian plate that has been subducted to, and metamorphosed at, mantle depths of more than 100 km before being exhumed. Both UHP complexes are located today directly adjacent to the Indus-Tsangpo suture zone and are not separated by non-metamorphosed sequences of Tethyan sediments from the Asian margin. Herein, we present new data for one fresh coesite-bearing eclogite from the Tso Moran massif. Therein, garnets are zoned reflecting their growth during prograde and peak metamorphism and showing a thin retrograde overgrowth. Inclusions can be directly correlated to the compositional zoning and are seen as either relicts of the protolith mineral paragenesis and as "snap shots" of the mineral paragenesis during subduction and under peak conditions. Rare earth element concentrations (REE) were obtained for garnet, mineral inclusions in garnet and matrix minerals. The REE pattern in garnet reflects a sequential change in matrix minerals and their proportions due to net transfer reactions during subduction and peak metamorphism. Using conventional geothermobarometry, a peak pressure of ca. 44-48 kbar at 560-760 degrees C followed by an S-shaped exhumation curve has been deduced. Gibbs free energy minimization modelling was used to supplement our analytical findings. (C) 2015 Elsevier B.V. All rights reserved.
Faulting processes in volcanic areas result from a complex interaction of pressurized fluid-filled cracks and conduits with the host rock and local and regional tectonic setting. Often, volcanic seismicity is difficult to decipher in terms of the physical processes involved, and there is a need for models relating the mechanics of volcanic sources to observations. Here we use focal mechanism data of the energetic swarm induced by the 2000 dike intrusion at Miyakejima (Izu Archipelago, Japan), to study the relation between the 3-D dike-induced stresses and the characteristics of the seismicity. We perform a clustering analysis on the focal mechanism (FM) solutions and relate them to the dike stress field and to the scaling relationships of the earthquakes. We find that the strike and rake angles of the FMs are strongly correlated and cluster on bands in a strike-rake plot. We suggest that this is consistent with optimally oriented faults according to the expected pattern of Coulomb stress changes. We calculate the frequency-size distribution of the clustered sets finding that focal mechanisms with a large strike-slip component are consistent with the Gutenberg-Richter relation with a b value of about 1. Conversely, events with large normal faulting components deviate from the Gutenberg-Richter distribution with a marked roll-off on its right-hand tail, suggesting a lack of large-magnitude events (M-w>5.5). This may result from the interplay of the limited thickness and lower rock strength of the layer of rock above the dike, where normal faulting is expected, and lower stress levels linked to the faulting style and low confining pressure.
Combinations of runoff characteristics are commonly used to represent distinct conceptual models of stormflow generation. In this study, three runoff characteristics: hydrograph response, time source of runoff water, and flow path are used to classify catchments. Published data from the scientific literature are used to provide evidence from small, forested catchments. Each catchment was assigned to one of the eight conceptual models, depending on the combination of quick/slow response, old/new water, and overland/subsurface flow. A standard procedure was developed to objectively diagnose the predominant conceptual model of stormflow generation for each catchment and assess its temporal and spatial support. The literature survey yielded 42 catchments, of which 30 catchments provide a complete set of qualitative runoff characteristics resulting in one of the eight conceptual models. The majority of these catchments classify as subsurface flow path dominated. No catchments were found for conceptual models representing combinations of quick response-new water-subsurface flow (SSF), slow-new-SSF, slow-old-overland flow (OF) nor new-slow-OF. Of the 30 qualitatively classified catchments, 24 provide a complete set of quantitative measures. In summary, the field support is strong for 19 subsurface-dominated catchments and is weak for 5 surface flow path dominated catchments (six catchments had insufficient quantitative data). Two alternative explanations exist for the imbalance of field support between the two flow path classes: (1) the selection of research catchments in past field studies was mainly to explain quick hydrograph response in subsurface dominated catchments; (2) catchments with prevailing subsurface flow paths are more common in nature. We conclude that the selection of research catchments needs to cover a wider variety of environmental conditions which should lead to a broader, and more widely applicable, spectrum of resulting conceptual models and process mechanisms. This is a prerequisite in studies where catchment organization and similarity approaches are used to develop catchment classification systems in order to regionalize stormflow.
This study investigates the spatial and temporal distributions of 14 key arboreal taxa and their driving forces during the last 22,000 calendar years before ad 1950 (kyr BP) using a taxonomically harmonized and temporally standardized fossil pollen dataset with a 500-year resolution from the eastern part of continental Asia. Logistic regression was used to estimate pollen abundance thresholds for vegetation occurrence (presence or dominance), based on modern pollen data and present ranges of 14 taxa in China. Our investigation reveals marked changes in spatial and temporal distributions of the major arboreal taxa. The thermophilous (Castanea, Castanopsis, Cyclobalanopsis, Fagus, Pterocarya) and eurythermal (Juglans, Quercus, Tilia, Ulmus) broadleaved tree taxa were restricted to the current tropical or subtropical areas of China during the Last Glacial Maximum (LGM) and spread northward since c. 14.5kyr BP. Betula and conifer taxa (Abies, Picea, Pinus), in contrast, retained a wider distribution during the LGM and showed no distinct expansion direction during the Late Glacial. Since the late mid-Holocene, the abundance but not the spatial extent of most trees decreased. The changes in spatial and temporal distributions for the 14 taxa are a reflection of climate changes, in particular monsoonal moisture, and, in the late Holocene, human impact. The post-LGM expansion patterns in eastern continental China seem to be different from those reported for Europe and North America, for example, the westward spread for eurythermal broadleaved taxa.
Upwelling hot mantle plumes are thought to disintegrate continental lithosphere and are considered to be drivers of active continental breakup. The formation of the Walvis Ridge during the opening of the South Atlantic is related to a putative plume-induced breakup. We investigated the crustal structure of the Walvis Ridge (southeast Atlantic Ocean) at its intersection with the continental margin and searched for anomalies related to the possible plume head. The overall structure we identify suggests that no broad plume head existed during opening of the South Atlantic and anomalous mantle melting occurred only locally. We therefore question the importance of a plume head as a driver of continental breakup and further speculate that the hotspot was present before the rifting, leaving a track of kimberlites in the African craton.
Several destructive earthquakes have occurred in Tien-Shan region at the beginning of 20th century. However, the detailed seismological characteristics, especially source parameters of those earthquakes are still poorly investigated. The Chon-Kemin earthquake is the strongest instrumentally recorded earthquake in the Tien-Shan region. This earthquake has produced an approximately 200 km long system of surface ruptures along Kemin-Chilik fault zone and killed about similar to 400 people. Several studies presented the different information on the earthquake epicentre location and magnitude, and two different focal mechanisms were also published. The reason for the limited knowledge of the source parameters for the Chon-Kemin earthquake is the complexity of old analogue records processing, digitization and analysis. In this study the data from 23 seismic stations worldwide were collected and digitized. The earthquake epicentre was relocated to 42.996NA degrees and 77.367EA degrees, the hypocentre depth is estimated between 10 and 20 km. The magnitude was recalculated to m(B) 8.05, M-s 7.94 and M-w 8.02. The focal mechanism, determined from amplitude ratios comparison of the observed and synthetic seismograms, was: str = 264A degrees, dip = 52A degrees, rake = 98A degrees. The apparent source time duration was between similar to 45 and similar to 70 s, the maximum slip occurred 25 s after the beginning of the rupture. Two subevents were clearly detected from the waveforms with the scalar moment ratio between them of about 1/3, the third subevent was also detected with less certainty. Taking into account surface rupture information, the fault geometry model with three patches was proposed. Based on scaling relations we conclude that the total rupture length was between similar to 260 and 300 km and a maximum rupture width could reach similar to 70 km.
Shaking water out of soil
(2015)
Moderate to large earthquakes can increase the amount of water flowing in streams. Previous interpretations and models assume that the extra water originates in the saturated zone. Here we show that earthquakes may also release water from the unsaturated zone when the seismic energy is sufficient to overcome the threshold of soil water retention. Soil water may then be released into aquifers, increasing streamflow. After the M8.8 Maule, Chile, earthquake, the discharge in some headwater catchments of the Chilean coastal range increased, and the amount of extra water in the discharge was similar to the total amount of water available for release from the unsaturated zone. Assuming rapid recharge of this water to the water table, a groundwater flow model that accounts for evapotranspiration and water released from soils can reproduce the increase in discharge as well as the enhanced diurnal discharge variations observed after the earthquake. Thus the unsaturated zone may play a previously unappreciated, and potentially significant, role in shallow hydrological responses to earthquakes.
Probabilistic seismic-hazard analysis (PSHA) is the current tool of the trade used to estimate the future seismic demands at a site of interest. A modern PSHA represents a complex framework that combines different models with numerous inputs. It is important to understand and assess the impact of these inputs on the model output in a quantitative way. Sensitivity analysis is a valuable tool for quantifying changes of a model output as inputs are perturbed, identifying critical input parameters, and obtaining insight about the model behavior. Differential sensitivity analysis relies on calculating first-order partial derivatives of the model output with respect to its inputs; however, obtaining the derivatives of complex models can be challenging.
In this study, we show how differential sensitivity analysis of a complex framework such as PSHA can be carried out using algorithmic/automatic differentiation (AD). AD has already been successfully applied for sensitivity analyses in various domains such as oceanography and aerodynamics. First, we demonstrate the feasibility of the AD methodology by comparing AD-derived sensitivities with analytically derived sensitivities for a basic case of PSHA using a simple ground-motion prediction equation. Second, we derive sensitivities via AD for a more complex PSHA study using a stochastic simulation approach for the prediction of ground motions. The presented approach is general enough to accommodate more advanced PSHA studies of greater complexity.
Semi-automated detection of annual laminae (varves) in lake sediments using a fuzzy logic algorithm
(2015)
Annual laminae (varves) in lake sediments are typically visually identified, measured and counted, although numerous attempts have been made to automate this process. The reason for the failure of most of these automated algorithms for varve counting is the complexity of the seasonal laminations, typically rich in lateral fades variations and internal heterogeneities. In the manual counting of varves, the investigator acquired and interpreted flexible numbers of complex decision criteria to understand whether a particular simple lamination is a varve or not. Fuzzy systems simulate the flexible decision making process in a computer by introducing a smooth transition between true varve and false varve. In our investigation, we use an adaptive neuro fuzzy inference system (ANFIS) to detect varves on the basis of a digital image of the sediment. The results of the application of the ANFIS to laminated sediments from the Meerfelder Maar (Eifel, Germany) and from a landslide-dammed lake in the Quebrada de Cafayate of Argentina are compared with manual varve counts and possible reasons for the differences are discussed. (C) 2015 Elsevier B.V. All rights reserved.
Studies of seismic tomography have been highly successful at imaging the deep structure of subduction zones. In a study complementary to these tomographic studies, we use array seismology and reflected waves to image a stagnant slab in the mantle transition zone. Using P and S (SH) waves we find a steeply dipping reflector centred at ca. 400 km depth and ca. 550 km west of the present Mariana subduction zone (at 20N, 140E). The discovery of this anomaly in tomography and independently in array seismology (this paper) helps in understanding the evolution of the Mariana margin. The reflector/stagnant slab may be the remains of the hypothetical North New Guinea Plate, which was theorized to have subducted ca. 50 Ma.
The segmentation of major fault systems in subduction zones controls earthquake magnitude and location, but the causes for the existence of segment boundaries and the relationships between long-term deformation and the extent of earthquake rupture, are poorly understood. We compare permanent and seismic-cycle deformation patterns along the rupture zone of the 2010 Maule earthquake (M8.8), which ruptured 500 km of the Chile subduction margin. We analyzed the morphology of MIS-5 marine terraces using LiDAR topography and established their chronology and coeval origin with twelve luminescence ages, stratigraphy and geomorphic correlation, obtaining a virtually continuous distribution of uplift rates along the entire rupture zone. The mean uplift rate for these terraces is 0.5 m/ka. This value is exceeded in three areas, which have experienced rapid emergence of up to 1.6 m/ka; they are located at the northern, central, and southern sectors of the rupture zone, referred to as Topocalma, Carranza and Arauco, respectively. The three sectors correlate with boundaries of eight great earthquakes dating back to 1730. The Topocalma and Arauco sectors, located at the boundaries of the 2010 rupture, consist of broad zones of crustal warping with wavelengths of 60 and 90 km, respectively. These two regions coincide with the axes of oroclinal bending of the entire Andean margin and correlate with changes in curvature of the plate interface. Rapid uplift at Carranza, in turn, is of shorter wavelength and associated with footwall flexure of three crustal-scale normal faults. The uplift rate at Carranza is inversely correlated with plate coupling as well as with coseismic slip, suggesting permanent deformation may accumulate interseismically. We propose that the zones of upwarping at Arauco and Topocalma reflect changes in frictional properties of the megathrust resulting in barriers to the propagation of great earthquakes. Slip during the 1960 (M9.5) and 2010 events overlapped with the similar to 90-km-long zone of rapid uplift at Arauco; similarly, slip in 2010 and 1906 extended across the similar to 60-km-long section of the megathrust at Topocalma, but this area was completely breached by the 1730 (M similar to 9) event, which propagated southward until Carranza. Both Arauco and Topocalma show evidence of sustained rapid uplift since at least the middle Pleistocene. These two sectors might thus constitute discrete seismotectonic boundaries restraining most, but not all great earthquake ruptures. Based on our observations, such barriers might be breached during multi-segment super-cycle events. (C) 2015 Elsevier Ltd. All rights reserved.
Roads at risk
(2015)
Globalisation and interregional exchange of people, goods, and services has boosted the importance of and reliance on all kinds of transport networks. The linear structure of road networks is especially sensitive to natural hazards. In southern Norway, steep topography and extreme weather events promote frequent traffic disruption caused by debris flows. Topographic susceptibility and trigger frequency maps serve as input into a hazard appraisal at the scale of first-order catchments to quantify the impact of debris flows on the road network in terms of a failure likelihood of each link connecting two network vertices, e.g. road junctions. We compute total additional traffic loads as a function of traffic volume and excess distance, i.e. the extra length of an alternative path connecting two previously disrupted network vertices using a shortest-path algorithm. Our risk metric of link failure is the total additional annual traffic load, expressed as vehicle kilometres, because of debris-flow-related road closures. We present two scenarios demonstrating the impact of debris flows on the road network and quantify the associated path-failure likelihood between major cities in southern Norway. The scenarios indicate that major routes crossing the central and north-western part of the study area are associated with high link-failure risk. Yet options for detours on major routes are manifold and incur only little additional costs provided that drivers are sufficiently well informed about road closures. Our risk estimates may be of importance to road network managers and transport companies relying on speedy delivery of services and goods.
Interlayered blueschists and greenschists of the Coastal Cordillera (Chile) are part of a Late Palaeozoic accretionary complex. They represent metavolcanic rocks with oceanic affinities based on predominantly 01B-type REE patterns and immobile trace element ratios. Both rock types have similar mineralogies, albeit with different mineral modal abundances. Amphibole is the major mafic mineral and varies compositionally from glaucophane to actinolite. The presence of glaucophane relicts as cores in zoned amphiboles in both blueschists and greenschists is evidence for a pervasive high-pressure metamorphic stage, indicating that tectonic juxtaposition is an unlikely explanation for the cm-dm scale interlayering. During exhumation, a retrograde greenschist-facies overprint stabilized chlorite + albite + winchitic/actinolitic amphibole + phengitic white mica +/- epidote +/- K-feldspar at 0.4 +/- 0.1 GPa. Geochemical variability can be partly ascribed to primary magmatic and partly to secondary metasomatic processes that occurred under greenschist-facies conditions. Isocon diagrams of several adjacent blueschist-greenschist pairs with similar protolith geochemistry were used to evaluate metasomatic changes due to retrograde fluid-rock interaction. The most important geochemical changes are depletion of Si and Na and addition of water in the greenschists compared to the blueschists. Transition metals and LILE are mobilized to varying degrees. The unsystematic deviations from magmatic fractionation trends suggest open system conditions and influx of an external fluid. Pseudosection and water isopleth calculations show that the rocks were dehydrating during most of their exhumation history and remained at water-saturated conditions. The mineralogical changes, in particular breakdown of blue amphibole and replacement by chlorite, albite and calcic/sodic-calcic amphibole, are the prime cause for the distinct coloring. Pseudo-binary phase diagrams were used as a means to link bulk rock geochemical variability to modal and chemical changes in the mineralogy. The geochemical changes induced by fluid-rock interaction are important in two ways: First, the bulk rock chemistry is altered, leading to the stabilization of higher modal proportions of chlorite in the greenschists. Second, the retrograde overprint is a selective, layer-parallel fluid infiltration process, causing more intense greenschist-facies recrystallization in greenschist layers and therefore preferential preservation of blue amphibole in blueschist layers. Hence, the distinct colors were acquired by a combination of compositional variability, both primary magmatic and secondary metasomatic, and the different intensity of retrograde fluid infiltration. (C) 2014 Elsevier B.V. All rights reserved.
Vegetated dunes are recognized as important natural barriers that shelter inland ecosystems and coastlines suffering daily erosive impacts of the sea and extreme events, such as tsunamis. However, societal responses to erosion and shoreline retreat often result in man-made coastal defence structures that cover part of the intertidal and upper shore zones causing coastal squeeze and habitat loss, especially for upper shore biota, such as dune plants. Coseismic uplift of up to 2.0 m on the Peninsula de Arauco (South central Chile, ca. 37.5 degrees S) caused by the 2010 Maule earthquake drastically modified the coastal landscape, including major increases in the width of uplifted beaches and the immediate conversion of mid to low sandy intertidal habitat to supralittoral sandy habitat above the reach of average tides and waves. To investigate the early stage responses in species richness, cover and across-shore distribution of the hitherto absent dune plants, we surveyed two formerly intertidal armoured sites and a nearby intertidal unarmoured site on a sandy beach located on the uplifted coast of Llico (Peninsula de Arauco) over two years. Almost 2 years after the 2010 earthquake, dune plants began to recruit, then rapidly grew and produced dune hummocks in the new upper beach habitats created by uplift at the three sites. Initial vegetation responses were very similar among sites. However, over the course of the study, the emerging vegetated dunes of the armoured sites suffered a slowdown in the development of the spatial distribution process, and remained impoverished in species richness and cover compared to the unarmoured site. Our results suggest that when released from the effects of coastal squeeze, vegetated dunes can recover without restoration actions. However, subsequent human activities and management of newly created beach and dune habitats can significantly alter the trajectory of vegetated dune development. Management that integrates the effects of natural and human induced disturbances, and promotes the development of dune vegetation as natural barriers can provide societal and conservation benefits in coastal ecosystems.
Pollen productivity estimates (PPE) are used to quantitatively reconstruct variations in vegetation within a specific distance of the sampled pollen archive. Here, for the first time, PPEs from Siberia are presented. The study area (Khatanga region, Krasnoyarsk territory, Russia) is located in the Siberian Sub-arctic where Larix is the sole forest-line forming tree taxon. Pollen spectra from two different sedimentary environments, namely terrestrial mosses (n = 16) and lakes (n = 15, median radius similar to 100 m) and their surrounding vegetation were investigated to extract PPEs. Our results indicate some differences in pollen spectra between moss and lake pollen. Larix and Cyperaceae for example obtained higher representation in the lacustrine than in terrestrial moss samples. This highlights that in calibration studies, modem and fossil datasets should use archives of similar sedimentary origin. Results of an Extended R-Value model were applied to assess the relevant source area of pollen (RSAP) and to calculate the PPEs for both datasets. As expected, the RSAP of the moss samples was very small (about 10 m) compared to the lacustrine samples (about 25 km). Calculation of PPEs for the six most common taxa yielded generally similar results for both datasets. Relative to Poaceae (reference taxon, PPE = 1) Betula nana-type (PPEmoss: 1.8, PPElake: 1.8) and Alnus fruticosa-type (PPEmoss:6.4, PPElake:2.9) were overrepresented while Cyperaceae (PPEmoss:0.5, PPElake:0.1), Ericaceae (PPEmoss: 0.3, PPElake <0.01), Salix (PPEmoss:0.03, PPElake <00.1) and Larix (PPEmoss: <0.01, PPElake:0.2) were under-represented in the pollen spectra compared to the vegetation in the RSAP. The estimation for the dominant tree in the region, Larix gmelinii, is the first published result for this species, but needs to be considered very preliminary. The inferred sequence from over- to under-representation is mostly consistent with results from Europe; however, the absolute values show some differences. Gathering vegetation data was limited by the remoteness of our study area and a lack of high-resolute satellite imagery and vegetation maps. Our estimate may serve as a first reference to strengthen future vegetation reconstructions in this climate-sensitive region. (C) 2015 Elsevier B.V. All rights reserved.
It has been known for many decades that the lunar tidal influence in the equatorial electrojet (EEJ) is noticeably enhanced during Northern Hemisphere winters. Recent literature has discussed the role of stratospheric sudden warming (SSW) events behind the enhancement of lunar tides and the findings suggest a positive correlation between the lunar tidal amplitude and lower stratospheric parameters (zonal mean air temperature and zonal mean zonal wind) during SSW events. The positive correlation raises the question whether an inverse approach could also be developed which makes it possible to deduce the occurrence of SSW events before their direct observations (before 1952) from the amplitude of the lunar tides. This study presents an analysis technique based on the phase of the semi-monthly lunar tide to determine the lunar tidal modulation of the EEJ. A statistical approach using the superposed epoch analysis is also carried out to formulate a relation between the EEJ tidal amplitude and lower stratospheric parameters. Using these results, we have estimated a threshold value for the tidal wave power that could be used to identify years with SSW events from magnetic field observations.
Samples of 474 forest stands in Germany were analysed for concentrations of polycyclic aromatic hydrocarbons (PAHs) in three sampling depths. Enhanced concentrations were mainly found at spots relatively close to densely industrialized and urbanized regions and at some topographically elevated areas. Average enrichment factors between mineral soil and humic layer depend on humus type i.e. decrease from mull via moder to more Based on their compound-patterns, the observed samples could be assigned to three main clusters. For some parts of our study area a uniform assignment of samples to clusters over larger regions could be identified. For instance, samples taken at vicinity to brown-coal strip-mining districts are characterized by high relative abundances of low-molecular-weight PAHs. These results suggest that PAHs are more likely originated from local and regional emitters rather than from long-range transport and that specific source-regions can be identified based on PAH fingerprints. (C) 2015 Elsevier Ltd. All rights reserved.
We present the results of our investigations on the radiocarbon dated core sediments from the Lake Tso Moriri, NW Himalaya aimed at reconstructing palaeohydrological changes in this climatically sensitive region. Based on the detailed geochemical, mineralogical and sedimentological analysis, we recognise several short-term fluctuations superimposed upon seven major palaeohydrological stages identified in this lake since similar to 26 cal ka. Stage I (>20.2 cal ka): shallow lake characterised by input of coarse-grained detrital sediments; Stage II (20.2-16.4 cal ka): lake deepening and intensification of this trend ca. 18 cal ka; Stage III (16.4-11.2 cal ka): rising lake levels with a short term wet phase (13.1-11.7 cal ka); Stage IV (11.2-8.5 cal ka): early Holocene hydrological maxima and highest lake levels inferred to have resulted from early Holocene Indian monsoon intensification, as records from central Asia indicate weaker westerlies during this interval; Stage V (8.5-5.5 cal ka): mid-Holocene climate deterioration; Stage VI (5.5-2.7 cal ka): progressive lowering of lake level; Stage VII (2.7-0 cal ka): onset of modern conditions. The reconstructed hydrological variability in Lake Tso Moriri is governed by temperature changes (meltwater inflow) and monsoon precipitation (increased runoff). A regional comparison shows considerable differences with other palaeorecords from peninsular India during late Holocene. (C) 2014 Elsevier Ltd and INQUA. All rights reserved.
Based on high-spatiotemporal-resolution data, the authors perform a climatological study of strong rainfall events propagating from southeastern South America to the eastern slopes of the central Andes during the monsoon season. These events account for up to 70% of total seasonal rainfall in these areas. They are of societal relevance because of associated natural hazards in the form of floods and landslides, and they form an intriguing climatic phenomenon, because they propagate against the direction of the low-level moisture flow from the tropics. The responsible synoptic mechanism is analyzed using suitable composites of the relevant atmospheric variables with high temporal resolution. The results suggest that the low-level inflow from the tropics, while important for maintaining sufficient moisture in the area of rainfall, does not initiate the formation of rainfall clusters. Instead, alternating low and high pressure anomalies in midlatitudes, which are associated with an eastward-moving Rossby wave train, in combination with the northwestern Argentinean low, create favorable pressure and wind conditions for frontogenesis and subsequent precipitation events propagating from southeastern South America toward the Bolivian Andes.
Hydrothermal carbonization (HTC) produces carbon-rich nano-micro size particles. In this study, magnetic hydrochar (MHC) was prepared from model compound cellulose by simply adding ferrites during HTC. The effects of ferrites on HTC were evaluated by characterizing solid MHC and corresponding process liquid. Additionally, magnetic stability of MHC was tested by magnetic susceptibility method. Finally, MHC was used as support media for anaerobic films in anaerobic digestion (AD). Ash-free mass yield was around 50% less in MHC than hydrochar produced without ferrites at any certain HTC reaction condition, where organic part of MHC is mainly carbon. In fact, amorphous hydrochar was growing on the surface of inorganic ferrites. MHC maintained magnetic susceptibility regardless of reaction time at reaction temperature 250 degrees C. Pronounced inhibitory effects of magnetic hydrochar occurred during start-up of AD but diminished with prolong AD times. Visible biofilms were observed on the MHC by laser scanning microscope after AD. (C) 2015 Elsevier Ltd. All rights reserved.
Probing the core-mantle boundary beneath Europe and Western Eurasia: A detailed study using PcP
(2015)
We use PcP (the core reflected P phase) recordings of deep earthquakes and nuclear explosions from the Grafenberg (Germany) and NORSAR (Norway) arrays to investigate the core-mantle boundary region beneath Europe and western Eurasia. We find evidence for a previously unknown ultra-low velocity zone 600 km south-east of Moscow, located at the edge of a middle-size low shear- velocity region imaged in seismic tomography that is located beneath the Volga river region. The observed amplitude variations of PcP can be modelled by velocity reductions of P and S-waves of -5% and -15%, respectively, with a density increase of +15%. Travel time delays of pre-and postcursors are indicating a thickness of about 13 km for this ultra-low velocity region (ULVZ). However, our modelling also reveals highly ambiguous amplitude variations of PcP and a reflection off the top of the anomaly for various ULVZs and topography models. Accordingly, large velocity contrasts of up to -10% in V-P and -20% in Vs cannot be excluded. In general, the whole Volga river region shows a complex pattern of PcP amplitudes caused most likely by CMB undulations. Further PcP probes beneath Paris, Kiev and northern Italy indicate likely normal CMB conditions, whereas the samples below Finland and the Hungary-Slovakia border yield strongly amplified PcP signals suggesting strong CMB topography effects.
We evaluate the amplitude behaviour of PcP as a function of distance and several ULVZ models using the 1D reflectivity and the 2D Gauss beam method. The influence of the velocity and density perturbations is analysed as well as the anomaly thickness, the dominant period of the source wavelet and interface topographies. Strong variation of the PcP amplitude are obtained as a function of distance and of the impedance contrast. We also consider two types of topographies: undulations atop the CMB in the presence of flat ULVZs and vice versa. Where a broad range of CMB topography dimensions lead to large PcP amplitude variations, only large ULVZ undulations generate significant amplitude scattering. Consequently, this indicates that topography effects of anomalies may mask the true medium parameters as well as the ULVZ thickness. Moreover, there might be a possibility of misinterpreting the precursor as PcP, in particular for thin ULVZs. (C) 2015 Elsevier B.V. All rights reserved.
Remnants of hydrous melt formed at mantle depths have been identified and characterized within high-pressure leucogranulites of the Orlica-Snieznik Dome (Bohemian Massif, central Europe). They occur as nanogranites in garnet formed via partial melting of granitoids during the Variscan orogeny. Melt composition and H2O content have been investigated in situ after experimental re-homogenization of the nanogranites, and are consistent with melts produced experimentally from crustal lithologies at mantle depths. This is the first geochemical study of melt inclusions from natural crustal rocks equilibrated close to the stability field of coesite, shedding light on how continental crust melts during deep subduction. Whereas decompressional melting is commonly invoked for deeply subducted crustal lithologies, melting occurred near or at the metamorphic peak pressure in the Orlica-Snieznik granulites. Melting of deeply subducted crustal rocks significantly modifies the rheology and thus promotes fast exhumation: this process has a critical influence on the geodynamic evolution of subduction-collision orogens as well as crustal differentiation at depth.
Numerous studies investigated the influence of abiotic (meteorological conditions) and biotic factors (tree characteristics) on stemflow generation. Although these studies identified the variables that influence stemflow volumes in simply structured forests, the combination of tree characteristics that allows a robust prediction of stemflow volumes in species-rich forests is not well known. Many hydrological applications, however, require at least a rough estimate of stemflow volumes based on the characteristics of a forest stand. The need for robust predictions of stemflow motivated us to investigate the relationships between tree characteristics and stemflow volumes in a species-rich tropical forest located in central Panama. Based on a sampling setup consisting of ten rainfall collectors, 300 throughfall samplers and 60 stemflow collectors and cumulated data comprising 26 rain events, we derive three main findings. Firstly, stemflow represents a minor hydrological component in the studied 1-ha forest patch (1.0% of cumulated rainfall). Secondly, in the studied species-rich forest, single tree characteristics are only weakly related to stemflow volumes. The influence of multiple tree parameters (e.g. crown diameter, presence of large epiphytes and inclination of branches) and the dependencies among these parameters require a multivariate approach to understand the generation of stemflow. Thirdly, predicting stemflow in species-rich forests based on tree parameters is a difficult task. Although our best model can capture the variation in stemflow to some degree, a critical validation reveals that the model cannot provide robust predictions of stemflow. A reanalysis of data from previous studies in species-rich forests corroborates this finding. Based on these results and considering that for most hydrological applications, stemflow is only one parameter among others to estimate, we advocate using the base model, i.e. the mean of the stemflow data, to quantify stemflow volumes for a given study area. Studies in species-rich forests that wish to obtain predictions of stemflow based on tree parameters probably need to conduct a much more extensive sampling than currently implemented by most studies. Copyright (c) 2015 John Wiley & Sons, Ltd.
Body size has been widely recognised as a key factor determining community structure in ecosystems. We analysed size diversity patterns of phytoplankton, zooplankton and fish assemblages in 13 data sets from freshwater and marine sites with the aim to assess whether there is a general trend in the effect of predation and resource competition on body size distribution across a wide range of aquatic ecosystems. We used size diversity as a measure of the shape of size distribution. Size diversity was computed based on the Shannon-Wiener diversity expression, adapted to a continuous variable, i.e. as body size. Our results show that greater predation pressure was associated with reduced size diversity of prey at all trophic levels. In contrast, competition effects depended on the trophic level considered. At upper trophic levels (zooplankton and fish), size distributions were more diverse when potential resource availability was low, suggesting that competitive interactions for resources promote diversification of aquatic communities by size. This pattern was not found for phytoplankton size distributions where size diversity mostly increased with low zooplankton grazing and increasing nutrient availability. Relationships we found were weak, indicating that predation and competition are not the only determinants of size distribution. Our results suggest that predation pressure leads to accumulation of organisms in the less predated sizes, while resource competition tends to favour a wider size distribution.
A detailed architectural analysis has been performed on the porcelaneous species Taberina bingistani Henson, 1948 from diverse localities, including its type locality in Iran. Characterized by a subcylindrical to slightly conical shape, with a cribbed apertural face, the Cenomanian Middle-East species bingistani is removed from the American early-Paleogene genus Taberina Keijzer, 1945 (type species: T. cubana) and ascribed to the new genus Praetaberina. In the early stages of growth, the chambers are planispiral-involute, becoming uncoiled in the later stages. The interior of the chambers shows numerous septula and pillars. The septula are radial and distributed in the marginal area of the chamber lumen, while the pillars occupy the central area and are regularly distributed between the intercameral foramina. Pillars are in alignment from one chamber to the next. A new species, from southeast Italy, Praetaberina apula, is also erected. It differs from P. bingistani in its smaller size and significantly reduced structural elements. Both species characterize upper Cenomanian shallow-water deposits.
The Upper Devonian Munster Basin of southern Ireland has traditionally been viewed as a post-orogenic molasse deposit that was sourced from the Caledonides of central Ireland and subsequently deformed by the end Carboniferous Variscan orogenic event. The basin fill is composed of super-mature quartz arenite sandstone that clearly represents a second cycle of deposition. The source of this detritus is now recognized as Lower Devonian Dingle Basin red bed sequences to the north. This genetic link is based on the degree of similarity in the detrital mica chemistry in both of these units; micas plot in identical fields and define the same trends. In addition, the two sequences show increased textural and chemical maturity up-sequence and define indistinguishable Ar-40/Ar-39 age ranges for the detrital mica grains. Partial resetting of the Ar ages can be attributed to elevated heat flow in the region caused by Munster Basin extension and subsequent Variscan deformation. The combined evidence from southwest Ireland therefore points to a Caledonian or possibly Taconian primary source area that initially shed detritus into the Lower Devonian Dingle Basin which was subsequently recycled into the Upper Devonian Munster Basin following mid-Devonian Acadian basin inversion. (C) 2014 International Association for Gondwana Research. Published by Elsevier B.V. All rights reserved.
Scientific theories of how subduction and plate tectonics began on Earth-and what the tectonic structure of Earth was before this-remain enigmatic and contentious(1). Understanding viable scenarios for the onset of subduction and plate tectonics(2,3) is hampered by the fact that subduction initiation processes must have been markedly different before the onset of global plate tectonics because most present-day subduction initiation mechanisms require acting plate forces and existing zones of lithospheric weakness, which are both consequences of plate tectonics(4). However, plume-induced subduction initiation(5-9) could have started the first subduction zone without the help of plate tectonics. Here, we test this mechanism using high-resolution three-dimensional numerical thermomechanical modelling. We demonstrate that three key physical factors combine to trigger self-sustained subduction: (1) a strong, negatively buoyant oceanic lithosphere; (2) focused magmatic weakening and thinning of lithosphere above the plume; and (3) lubrication of the slab interface by hydrated crust. We also show that plume-induced subduction could only have been feasible in the hotter early Earth for old oceanic plates. In contrast, younger plates favoured episodic lithospheric drips rather than self-sustained subduction and global plate tectonics.
Plan oblique relief shows terrain with a side view on a two-dimensional map, resulting in visualizations where the third dimension of the terrain is more explicit than on traditional two-dimensional maps. Existing plan oblique maps are static: the angle of terrain inclination is not adjustable and the orientation of plan oblique inclination does not change with the orientation of the map. This article introduces two complementary methods that address these issues by using the 3D graphics pipeline to render plan oblique relief for tile-based web maps. The goal is to allow users to adjust the terrain inclination and map rotation angles to better visualize the third dimension of the terrain. The first method pre-renders plan oblique tiles with a server-side application. The tiles are visualized with a standard web mapping framework. The second method renders plan oblique relief on-the-fly in a web browser using WebGL and a customized version of OpenLayers 3, which enables users to select arbitrary terrain inclination and map rotation angles. The second method uses a tiled digital terrain model that is loaded by the web browser. The browser applies the plan oblique transformation, computes a shaded relief, and texturizes the terrain with tiled map layers.
Endosulfan - an agricultural insecticide and banned by Stockholm Convention - is produced as a 2:1 to 7:3 mixture of isomers endosulfan I (ESI) and endosulfan II (ESII). Endosulfan is transformed under aerobic conditions into endosulfan sulfate (ESS). The study shows for 76 sampling locations in German forests that endosulfan is abundant in all samples with an opposite ratio between the ESI and ESII than the technical product, where the main metabolite ESS is found with even higher abundance. The ratio between ESI/ESII and ESS show clear dependence on the type of stands (coniferous vs. deciduous) and humus type and increases from deciduous via mixed to coniferous forest stands. The study argues for a systematic monitoring of ESI, ESII, and ESS and underlines the need for further research, specifically on the fate of endosulfan including biomagnifications and bioaccumulation in soil. (C) 2015 Elsevier Ltd. All rights reserved.
Several solutions have been proposed to explain the long-standing kinematic observation that postcollisional upper crustal shortening within the Himalaya and Asia is much less than the magnitude of India-Asia convergence. Here we implement these hypotheses in global plate reconstructions and test paleolatitudes predicted by the global apparent polar wander path against independent, and the most robust paleomagnetic data. Our tests demonstrate that (1) reconstructed 600-750km postcollisional intra-Asian shortening is a minimum value; (2) a 52Ma collision age is only consistent with paleomagnetic data if intra-Asian shortening was 900km; a 56-58Ma collision age requires greater intra-Asian shortening; (3) collision ages of 34 or 65Ma incorrectly predict Late Cretaceous and Paleogene paleolatitudes of the Tibetan Himalaya (TH); and (4) Cretaceous counterclockwise rotation of India cannot explain the paleolatitudinal divergence between the TH and India. All hypotheses, regardless of collision age, require major Cretaceous extension within Greater India.
The Tibetan Himalaya represents the northernmost continental unit of the Indian plate that collided with Asia in the Cenozoic. Paleomagnetic studies on the Tibetan Himalaya can help constrain the dimension and paleogeography of "Greater India,' the Indian plate lithosphere that subducted and underthrusted below Asia after initial collision. Here we present a paleomagnetic investigation of a Jurassic (limestones) and Lower Cretaceous (volcaniclastic sandstones) section of the Tibetan Himalaya. The limestones yielded positive fold test, showing a prefolding origin of the isolated remanent magnetizations. Detailed paleomagnetic analyses, rock magnetic tests, end-member modeling of acquisition curves of isothermal remanent magnetization, and petrographic investigation reveal that the magnetic carrier of the Jurassic limestones is authigenic magnetite, whereas the dominant magnetic carrier of the Lower Cretaceous volcaniclastic sandstones is detrital magnetite. Our observations lead us to conclude that the Jurassic limestones record a prefolding remagnetization, whereas the Lower Cretaceous volcaniclastic sandstones retain a primary remanence. The volcaniclastic sandstones yield an Early Cretaceous paleolatitude of 55.5 degrees S [52.5 degrees S, 58.6 degrees S] for the Tibetan Himalaya, suggesting it was part of the Indian continent at that time. The size of "Greater India' during Jurassic time cannot be estimated from these limestones. Instead, a paleolatitude of the Tibetan Himalaya of 23.8 degrees S [21.8 degrees S, 26.1 degrees S] during the remagnetization process is suggested. It is likely that the remagnetization, caused by the oxidation of early diagenetic pyrite to magnetite, was induced during 103-83 or 77-67 Ma. The inferred paleolatitudes at these two time intervals imply very different tectonic consequences for the Tibetan Himalaya.
Sedimentological, palaeontological and mineralogical analyses of sediments from the endorheic Al Jafr Basin were conducted to better understand the depositional and hydrological conditions on the southern Jordan Plateau in the late Quaternary. Surficially exposed carbonate-rich sediments in the western part of the basin contain ostracod (micro-crustacean) shells of Ilyocypris cf. bradyi, Candona neglecta, Heterocypris salina, Fabaeformiscandona fabaeformis, Pseudocandona sp. and Herpetocypris brevicaudata. The shells of these and other more rare species, and charophyte and mollusc remains indicate that the sediments were formed in a wetland setting of shallow freshwater to slightly oligohaline ponds, streams and swamps. The present more northern distribution of some of the recorded taxa implies that climate conditions were probably cooler during the wetland formation. Radiocarbon age data for biogenic carbonate from two locations suggest that the wetland setting existed during the second half of Marine Isotope Stage (MIS) 3 or possibly earlier. A significantly higher water table must have existed in the basin during wetland formation; and wetter climate conditions are inferred for the catchment or at least for its highest and most humid westernmost part. Deflation and local sediment accumulation by wind and occasional sheet-wash events apparently prevailed in the region since MIS 2. Our newly presented data and inferences do not support the reconstruction of a previously reported large and relatively deep Pleistocene lake in the Al Jafr Basin. However, more extensive studies are certainly required for a detailed assessment of the Quaternary hydrological conditions in southern Jordan. (C) 2014 Elsevier Ltd and INQUA. All rights reserved.
The organic-carbon (OC) pool accumulated in Arctic permafrost (perennially frozen ground) equals the carbon stored in the modern atmosphere. To give an idea of how Yedoma region permafrost could respond under future climatic warming, we conducted a study to quantify the organic-matter quality (here defined as the intrinsic potential to be further transformed, decomposed, and mineralized) of late Pleistocene (Yedoma) and Holocene (thermokarst) deposits on the Buor-Khaya Peninsula, northeast Siberia. The objective of this study was to develop a stratigraphic classified organic-matter quality characterization. For this purpose the degree of organic-matter decomposition was estimated by using a multiproxy approach. We applied sedimentological (grain-size analyses, bulk density, ice content) and geochemical parameters (total OC, stable carbon isotopes (delta C-13),total organic carbon : nitrogen (C / N) ratios) as well as lipid biomarkers (n-alkanes, n-fatty acids, hopanes, triterpenoids, and biomarker indices, i.e., average chain length, carbon preference index (CPI), and higher-plant fatty-acid index (HPFA)). Our results show that the Yedoma and thermokarst organic-matter qualities for further decomposition exhibit no obvious degradation-depth trend. Relatively, the C / N and delta C-13 values and the HPFA index show a significantly better preservation of the organic matter stored in thermokarst deposits compared to Yedoma deposits. The CPI data suggest less degradation of the organic matter from both deposits, with a higher value for Yedoma organic matter. As the interquartile ranges of the proxies mostly over-lap, we interpret this as indicating comparable quality for further decomposition for both kinds of deposits with likely better thermokarst organic-matter quality. Supported by principal component analyses, the sediment parameters and quality proxies of Yedoma and thermokarst deposits could not be unambiguously separated from each other. This revealed that the organic-matter vulnerability is heterogeneous and depends on different decomposition trajectories and the previous decomposition and preservation history. Elucidating this was one of the major new contributions of our multiproxy study. With the addition of biomarker data, it was possible to show that permafrost organic-matter degradation likely occurs via a combination of (uncompleted) degradation cycles or a cascade of degradation steps rather than as a linear function of age or sediment facies. We conclude that the amount of organic matter in the studied sediments is high for mineral soils and of good quality and therefore susceptible to future decomposition. The lack of depth trends shows that permafrost acts like a giant freezer, preserving the constant quality of ancient organic matter. When undecomposed Yedoma organic matter is mobilized via thermokarst processes, the fate of this carbon depends largely on the environmental conditions; the carbon could be preserved in an undecomposed state till refreezing occurs. If modern input has occurred, thermokarst organic matter could be of a better quality for future microbial decomposition than that found in Yedoma deposits.
One of the most critical problems affecting geophysical data acquisition procedures is related to the misorientation of multicomponent sensors with respect to a common reference system (e.g., geographic north). In many applications, misoriented sensors affect data analysis procedures, leading to errors in results and interpretations. These problems generally occur in applications where the orientation of the sensor cannot be actively controlled and is not known a priori, e.g., geophysical sensors deployed in borehole installations or on the seafloor. We have developed a quaternion-based method for the optimal reorientation of multicomponent geophysical sensors. In contrast to other approaches, we took into account the full time-series record from all sensor components. Therefore, our method could be applied to all time-series data and was not restricted to a certain type of geophysical sensor. Our method allows the robust calculation of relative reorientations between two-component or three-component sensors. By using a reference sensor in an iterative process, this result can be extended to the estimation of absolute sensor orientations. In addition to finding an optimal solution for a full 3D sensor rotation, we have established a rigorous scheme for the estimation of uncertainties of the resulting orientation parameters. We tested the feasibility and applicability of our method using synthetic data examples for a vertical seismic profile and an ocean bottom seismometer array. We noted that the quaternion-based reorientation method is superior to the standard approach of a single-parameter estimation of rotation angles.
The use of topographic metrics for estimating the susceptibility to, and reconstructing the characteristics of, debris flows has a long research tradition, although largely devoted to humid mountainous terrain. The exceptional 2010 monsoonal rainstorms in the high-altitude mountain desert of Ladakh and Zanskar, NW India, were a painful reminder of how susceptible arid regions are to rainfall-triggered flash floods, landslides, and debris flows. The rainstorms of August 4-6 triggered numerous debris flows, killing 182 people, devastating 607 houses, and more than 10 bridges around Ladakh's capital of Leh. The lessons from this disaster motivated us to revisit methods of predicting (a) flow parameters such as peak discharge and maximum velocity from field and remote sensing data, and (b) the susceptibility to debris flows from catchment morphometry. We focus on quantifying uncertainties tied to these approaches. Comparison of high-resolution satellite images pre- and post-dating the 2010 rainstorm reveals the extent of damage and catastrophic channel widening. Computations based on these geomorphic markers indicate maximum flow velocities of 1.6-6.7 m s(-1) with runout of up to similar to 10 km on several alluvial fans that sustain most of the region's settlements. We estimate median peak discharges of 310-610 m(3) s(-1), which are largely consistent with previous estimates. Monte Carlo-based error propagation for a single given flow-reconstruction method returns a variance in discharge similar to one derived from juxtaposing several different flow reconstruction methods. We further compare discriminant analysis, classification tree modelling, and Bayesian logistic regression to predict debris-flow susceptibility from morphometric variables of 171 catchments in the Ladakh Range. These methods distinguish between fluvial and debris flow-prone catchments at similar success rates, but Bayesian logistic regression allows quantifying uncertainties and relationships between potential predictors. We conclude that, in order to be robust and reliable, morphometric reconstruction of debris-flow properties and susceptibility requires careful assessment and reporting of errors and uncertainties. (C) 2015 Elsevier B.V. All rights reserved.
For near surface geophysical surveys, small-fixed offset loop-loop electromagnetic induction (EMI) sensors are usually placed parallel to the ground surface (i.e., both loops are at the same height above ground). In this study, we evaluate the potential of making measurements with a system that is not parallel to the ground; i.e., by positioning the system at different inclinations with respect to ground surface. First, we present the Maxwell theory for inclined magnetic dipoles over a homogeneous half space. By analyzing the sensitivities of such configurations, we,show that varying the angle of the system would result in improved imaging capabilities. For example, we show that acquiring data with a vertical system allows detection of a conductive body with a better lateral resolution compared to data acquired using standard horizontal configurations. The synthetic responses are presented for a heterogeneous medium and compared to field data acquired in the historical Park Sanssouci in Potsdam, Germany. After presenting a detailed sensitivity analysis and synthetic examples of such ground conductivity measurements, we suggest a new strategy of acquisition that allows to better estimate the true distribution of electrical conductivity using instruments with a fixed, small offset between the loops. This strategy is evaluated using field data collected at a well-constrained test-site in Horstwalde (Germany). Here, the target buried utility pipes are best imaged using vertical system configurations demonstrating the potential of our approach for typical applications. (C) 2015 Elsevier B.V. Pill rights reserved.
Non-invasive imaging techniques to study O-2 micro-patterns around pesticide treated lupine roots
(2015)
The soil root interface is a highly heterogeneous system, e.g. in terms of O-2 and pH distribution. The destructive character of conventional methods disturbs the natural conditions of those biogeochemical gradients. Therefore, experiments aiming to control these influences and study pesticide kinetics under given O-2 and pH conditions suffer from a large uncertainty of the "real" O-2/pH at a certain position. Our approach with two different imaging techniques will examine the soil-root interface as well as the dissipation of the applied pesticide at a high spatial resolution.
The obtained outcomes show directly that the pH has an influence on enantioselective dissipation of the acetanilide fungicide metalaxyl. In areas with high pH from an applied racemic mixture, the R-enantiomer dissipates faster than the S-enantiomer. Moreover, we found significantly reduced oxygen values in the bulk soil and vicinity of metalaxyl treated roots compared to control plant roots. The combination of matrix-assisted laser desorption/ionization mass spectrometry (MALDI) and fluorescence imaging indicated the oxygen-dependent behavior of metalaxyl at the root surface.
The results presented here underline the great potential of combining different imaging methods to examine the soil-root interfaces as well as the dissipation of organic pollutants in small soil compartments. (C) 2014 Elsevier B.V. All rights reserved.
Previous studies suggested that electric and/or magnetic field fluctuations observed in the nighttime topside ionosphere at midlatitudes generally originate from quiet time nocturnal medium-scale traveling ionospheric disturbances (MSTIDs). However, decisive evidences for the connection between the two have been missing. In this study we make use of the multispacecraft observations of midlatitude magnetic fluctuations (MMFs) in the nighttime topside ionosphere by the Swarm constellation. The analysis results show that the area hosting MMFs is elongated in the NW-SE (NE-SW) direction in the Northern (Southern) Hemisphere. The elongation direction and the magnetic field polarization support that the area hosting MMFs is nearly field aligned. All these properties of MMFs suggest that they have close relationship with MSTIDs. Expectation values of root-mean-square field-aligned currents associated with MMFs are up to about 4nA/m(2). MMF coherency significantly drops for longitudinal distances of 1 degrees.
Modern imaging spectrometers produce an ever-growing amount of data, which increases the need for automated analysis techniques. The algorithms employed, such as the United States Geological Survey (USGS) Tetracorder and the Mineral Identification and Characterization Algorithm (MICA), use a standardized spectral library and expert knowledge for the detection of surface cover types. Correct absorption feature definition and isolation are key to successful material identification using these algorithms. Here, a new continuum removal and feature isolation technique is presented, named the 'Geometric Hull Technique'. It is compared to the well-established, knowledge-based Tetracorder feature database together with the adapted state of the art techniques scale-space filtering, alpha shapes and convex hull.
The results show that the geometric hull technique yields the smallest deviations from the feature definitions of the MICA Group 2 library with a median difference of only 8nm for the position of the features and a median difference of only 15% for the feature shapes. The modified scale-space filtering hull technique performs second best with a median feature position difference of 16nm and a median difference of 25% for the feature shapes. The scale-space alpha hull technique shows a 23nm median position difference and a median deviation of 77% for the feature shapes. The geometric hull technique proposed here performs best amongst the four feature isolation techniques and may be an important building block for next generation automatic mapping algorithms.
Earth's life-support systems are in rapid decline, yet we have few metrics or indicators with which to track these changes. The world's governments are calling for biodiversity and ecosystem-service monitoring to guide and evaluate international conservation policy as well as to incorporate natural capital into their national accounts. The Group on Earth Observations Biodiversity Observation Network (GEO BON) has been tasked with setting up this monitoring system. Here we explore the immediate feasibility of creating a global ecosystem-service monitoring platform under the GEO BON framework through combining data from national statistics, global vegetation models, and production function models. We found that nine ecosystem services could be annually reported at a national scale in the short term: carbon sequestration, water supply for hydropower, and non-fisheries marine products, crop, livestock, game meat, fisheries, mariculture, and timber production. Reported changes in service delivery over time reflected ecological shocks (e.g., droughts and disease outbreaks), highlighting the immediate utility of this monitoring system. Our work also identified three opportunities for creating a more comprehensive monitoring system. First, investing in input data for ecological process models (e.g., global land-use maps) would allow many more regulating services to be monitored. Currently, only 1 of 9 services that can be reported is a regulating service. Second, household surveys and censuses could help evaluate how nature affects people and provides non-monetary benefits. Finally, to forecast the sustainability of service delivery, research efforts could focus on calculating the total remaining biophysical stocks of provisioning services. Regardless, we demonstrated that a preliminary ecosystem-service monitoring platform is immediately feasible. With sufficient international investment, the platform could evolve further into a much-needed system to track changes in our planet's life-support systems. (C) 2015 Elsevier Ltd. All rights reserved.
Multi-scale analysis of electrical conductivity of peatlands for the assessment of peat properties
(2015)
Peatlands store large amounts of carbon. This storage function has been reduced through intensive drainage, which leads to the decomposition of peat, resulting in a loss of carbon. Measurements of the real (sigma) and imaginary part (sigma) of electrical conductivity can deliver information on peat properties, such as the pore fluid conductivity (sigma(w)), cation exchange capacity (CEC), bulk density ((b)), water content (WC) and soil organic matter (SOM) content. These properties change with the peat's degree of decomposition (DD). To explore the relationships between the peat properties, sigma, sigma and DD, we focused on three different types of survey and scales. First, point measurements were made with a conductivity probe at various locations over a large area of northeast Germany to determine the degree of correlation between sigma and DD. Second, nine of these locations were selected for sampling to determine which of the properties sigma(w), CEC, (b), WC and SOM predominantly influence sigma and sigma. This multisite dataset includes the entire range of DD and was analysed in the laboratory. Third, one site was selected for a survey of sigma including sampling, to identify which properties mainly control sigma in a single-site approach. Statistical analysis revealed that for the multisite laboratory dataset, sigma(w) has the strongest effect on sigma, followed by CEC, whereas sigma is mainly determined by CEC. In a single-site approach, WC followed by CEC had a dominant effect on sigma. No clear correlation could be observed between (i) DD and peat properties and (ii) DD and sigma or sigma. This is because of the complex changes in properties with increasing DD.
Sediments in rivers record the dynamics of erosion processes. While bulk sediment fluxes are easily and routinely obtained, sediment caliber remains underexplored when inferring erosion mechanisms. Yet sediment grain size distributions may be the key to discriminating their origin. We have studied grain size-specific suspended sediment fluxes in the Kali Gandaki, a major trans-Himalayan river. Two strategically located gauging stations enable tracing of sediment caliber on either side of the Himalayan orographic barrier. The data show that fine sediment input into the northern headwaters is persistent, while coarse sediment comes from the High Himalayas during the summer monsoon. A temporally matching landslide inventory similarly indicates the prominence of monsoon-driven hillslope mass wasting. Thus, mechanisms of sediment supply can leave strong traces in the fluvial caliber, which could project well beyond the mountain front and add to the variability of the sedimentary record of orogen erosion.
A better understanding of past variations of the Indian Summer Monsoon (ISM), that plays a vital role for the still largely agro-based economy in India, can lead to a better assessment of its potential impact under global climate change scenarios. However, our knowledge of spatiotemporal patterns of ISM strength is limited due to the lack of high-resolution, continental paleohydrological records. Here, we reconstruct centennial-scale hydrological variability during the Holocene associated to changes in the intensity of the ISM based on a record of lipid biomarker abundances and compound-specific stable isotopic composition of a 10 m long sediment core from saline alkaline Lonar Lake, situated in the core 'monsoon zone' of central India.
We identified three main periods of distinct hydrology during the Holocene in central India. The period between 10.1 and 6 cal ka BP was likely the wettest during the Holocene. Lower average chain length (ACL) index values (29.4-28.6) and negative delta C-13(wax) values (-34.8 parts per thousand to -27.8 parts per thousand) of leaf wax n-alkanes indicate the dominance of woody C-3 vegetation in the catchment, and negative delta D-wax values (concentration weighted average) (-171 parts per thousand to -147 parts per thousand) suggest a wet period due to an intensified monsoon. After 6 cal ka BP, a gradual shift to less negative delta C-13(wax) values (particularly for the grass derived n-C-31) and appearance of the triterpene lipid tetrahymanol, generally considered as a marker for salinity and water column stratification, mark the onset of drier conditions. At 5.1 cal ka BP an increasing flux of leaf wax n-alkanes along with the highest flux of tetrahymanol indicate a major lowering of the lake level. Between 4.8 and 4 cal ka BP, we find evidence for a transition to arid conditions, indicated by high and strongly variable tetrahymanol flux. In addition, a pronounced shift to less negative delta C-13(wax) values, in particular for n-C-31 (-25.2 parts per thousand to -22.8 parts per thousand), during this period indicates a change of dominant vegetation to C-4 grasses. In agreement with other proxy data, such as deposition of evaporite minerals, we interpret this period to reflect the driest conditions in the region during the last 10.1 ka. This transition led to protracted late Holocene arid conditions after 4 ka with the presence of a permanent saline lake, supported by the sustained presence of tetrahymanol and more positive average delta D-wax values (-122 parts per thousand to -141 parts per thousand). A late Holocene peak of cyanobacterial biomarker input at 1.3 cal ka BP might represent an event of lake eutrophication, possibly due to human impact and the onset of cattle/livestock farming in the catchment.
A unique feature of our record is the presence of a distinct transitional period between 4.8 and 4 cal ka BP, which was characterized by some of the most negative delta D-wax values during the Holocene (up to -180 parts per thousand), when all other proxy data indicate the driest conditions during the Holocene. These negative delta D-wax values can as such most reasonably be explained by a shift in moisture source area and/or pathways or rainfall seasonality during this transitional period. We hypothesize that orbital induced weakening of the summer solar insolation and associated reorganization of the general atmospheric circulation, as a possible southward displacement of the tropical rainbelt, led to an unstable hydroclimate in central India between 4.8 and 4 ka.
As part of ongoing research on Holocene lacustrine sediments of Lonar Crater Lake (central India), pollen assemblages in lake surface sediment and soil samples were studied to unravel pollenevegetation relationships, including pollen transport processes in tropical dry deciduous forest vegetation. Furthermore, palynological results were compared with geochemical proxies and spatial features of the lake sediments and the vegetation. The obtained data reveal strong differences in pollen assemblages and pollen concentrations between and within the studied trapping media. Local arboreal vegetation is adequately represented in the soil samples, but is less represented in the lake surface sediment samples. The composition of the lacustrine pollen assemblages is mainly influenced by patterns of transport through surface and channel runoff. Besides the relevance of our new data for reliable interpretation of fossil pollen spectra extracted from Lonar sediment cores, the results of this study are of general importance for the understanding of Quaternary pollen assemblages from tropical lacustrine archives, as well as for the implementation and selection of suitable approaches for quantitative pollen based environmental reconstructions in south Asia and beyond. (C) 2015 Elsevier Ltd and INQUA. All rights reserved.
Modelling the transfer of supraglacial meltwater to the bed of Leverett Glacier, Southwest Greenland
(2015)
Meltwater delivered to the bed of the Greenland Ice Sheet is a driver of variable ice-motion through changes in effective pressure and enhanced basal lubrication. Ice surface velocities have been shown to respond rapidly both to meltwater production at the surface and to drainage of supraglacial lakes, suggesting efficient transfer of meltwater from the supraglacial to subglacial hydrological systems. Although considerable effort is currently being directed towards improved modelling of the controlling surface and basal processes, modelling the temporal and spatial evolution of the transfer of melt to the bed has received less attention. Here we present the results of spatially distributed modelling for prediction of moulins and lake drainages on the Leverett Glacier in Southwest Greenland. The model is run for the 2009 and 2010 ablation seasons, and for future increased melt scenarios. The temporal pattern of modelled lake drainages are qualitatively comparable with those documented from analyses of repeat satellite imagery. The modelled timings and locations of delivery of meltwater to the bed also match well with observed temporal and spatial patterns of ice surface speed-ups. This is particularly true for the lower catchment (< 1000 m a.s.l.) where both the model and observations indicate that the development of moulins is the main mechanism for the transfer of surface meltwater to the bed. At higher elevations (e.g. 1250-1500 m a.s.l.) the development and drainage of supraglacial lakes becomes increasingly important. At these higher elevations, the delay between modelled melt generation and subsequent delivery of melt to the bed matches the observed delay between the peak air temperatures and subsequent velocity speed-ups, while the instantaneous transfer of melt to the bed in a control simulation does not. Although both moulins and lake drainages are predicted to increase in number for future warmer climate scenarios, the lake drainages play an increasingly important role in both expanding the area over which melt accesses the bed and in enabling a greater proportion of surface melt to reach the bed.
Most airborne electromagnetic (EM) processing programs assume a flat ground surface. However, in mountainous areas, the system can be at an angle with regard to the ground. As the system is no longer parallel to the ground surface, the measured magnetic field has to be corrected and the ground induced eddy current has to be modelled in a better way when performing a very fine interpretation of the data. We first recall the theoretical background for the modelling of a magnetic dipole source and study it in regard to the case of an arbitrarily oriented magnetic dipole. We show in particular how transient central loop helicopter borne data are influenced by this inclination. The result shows that the effect of topography on airborne EM is more important at early time windows and for systems using a short cut-off source. In this paper, we suggest that an estimate be made off the locally averaged inclination of the system to the ground and then to correct the data for this before inverting it (whether the inversion assumes a flat 1D, 2D or 3D sub-surface). Both 1D and 2D inversions are applied to synthetic and real data sets with such a correction. The consequence on the ground imaging is small for slopes with an angle less than 25 degrees but the correction factor can be useful for improving the estimation of depths in mountainous areas.
In probabilistic seismic hazard analysis, different ground-motion prediction equations (GMPEs) are commonly combined within a logic tree framework. The selection of appropriate GMPEs, however, is a non-trivial task, especially for regions where strong motion data are sparse and where no indigenous GMPE exists because the set of models needs to capture the whole range of ground-motion uncertainty. In this study we investigate the aggregation of GMPEs into a mixture model with the aim to infer a backbone model that is able to represent the center of the ground-motion distribution in a logic tree analysis. This central model can be scaled up and down to obtain the full range of ground-motion uncertainty. The combination of models into a mixture is inferred from observed ground-motion data. We tested the new approach for Northern Chile, a region for which no indigenous GMPE exists. Mixture models were calculated for interface and intraslab type events individually. For each source type we aggregated eight subduction zone GMPEs using mainly new strong-motion data that were recorded within the Plate Boundary Observatory Chile project and that were processed within this study. We can show that the mixture performs better than any of its component GMPEs, and that it performs comparable to a regression model that was derived for the same dataset. The mixture model seems to represent the median ground motions in that region fairly well. It is thus able to serve as a backbone model for the logic tree.
The upper Middle to lower Upper Miocene (Serravallian to Tortonian) sedimentary succession in Salento (southern Italy) includes glauconite- and phosphate-rich deposits, which are associated with pelagic micrite. In Baia del Ciolo and Marittima (southern Salento), the succession is composed of shallow-water platform carbonates of Late Oligocene age (Chattian; Porto Badisco Formation), which are overlain by a 20- to 30-cm-thick level of glauconite-rich micrite with abundant reworked particles and fossils of the underlying Porto Badisco Formation. This interval is in turn covered by an up to 15 cm thick phosphatic crust ("Livello ad Aturia"), which itself is overlain either by a hemipelagic chalk-like carbonate of Middle to Late Miocene age ("Pietra Leccese"; Marittima) or directly by a micrite of Late Miocene age (Messinian; Novaglie Formation; Baia del Ciolo), which shallows upwards into a shallow-water platform carbonate. A large hiatus is present in this succession, which likely includes the Lower and lower Middle Miocene. In the region of Lecce, two discrete levels enriched in glauconite and phosphate-each associated with a major discontinuity-occur within the Pietra Leccese. The strontium-isotope ages derived on phosphate nodules and phosphatized and non-phosphatized fossils and calcareous nannofossil ages indicate a time interval of phosphogenesis between 13.5 and 7.5 Ma, with two clusters at 12 and 10.5 Ma. The glauconite and phosphate-rich sediments resulted from a current-dominated regime, which was characterized by low overall sedimentation rates, erosion and sediment reworking, and authigenesis. This regime was likely related to a generally westward-directed bottom current, which was forced to upwell once it arrived at the western border of the eastern Mediterranean basin. The timing of the principal phosphogenic phases can only partly be correlated to those of other occurrences in this part of the Mediterranean (Malta, Gozo, southern Sicily, Matese, Latium-Abruzzi platform). The partial diachrony in phosphogenesis may express the effect of lateral switching in and/or focusing of upwelling zones. (C) 2015 Elsevier B.V. All rights reserved.
On 27 December 2007, a 1.9 seismic event occurred within a dyke in the deep-level Mponeng Gold Mine, South Africa. From the seismological network of the mine and the one from the Japanese-German Underground Acoustic Emission Research in South Africa (JAGUARS) group, the hypocentral depth (3,509 m), focal mechanism and aftershock location were estimated. Since no mining activity took place in the days before the event, dynamic triggering due to blasting can be ruled out as the cause. To investigate the hypothesis that stress transfer, due to excavation of the gold reef, induced the event, we set up a small-scale high-resolution three-dimensional (3D) geomechanical numerical model. The model consisted of the four different rock units present in the mine: quartzite (footwall), hard lava (hanging wall), conglomerate (gold reef) and diorite (dykes). The numerical solution was computed using a finite-element method with a discretised mesh of approximately elements. The initial stress state of the model is in agreement with in situ data from a neighbouring mine, and the step-wise excavation was simulated by mass removal from the gold reef. The resulting 3D stress tensor and its changes due to mining were analysed based on the Coulomb failure stress changes on the fault plane of the event. The results show that the seismic event was induced regardless of how the Coulomb failure stress changes were calculated and of the uncertainties in the fault plane solution. We also used the model to assess the seismic hazard due to the excavation towards the dyke. The resulting curve of stress changes shows a significant increase in the last in front of the dyke, indicating that small changes in the mining progress towards the dyke have a substantial impact on the stress transfer.
In the Sri Lankan Highlands erosion and chemical weathering rates are among the lowest for global mountain denudation. In this tropical humid setting, highly weathered deep saprolite profiles have developed from high-grade metamorphic charnockite during spheroidal weathering of the bedrock. The spheroidal weathering produces rounded corestones and spalled rindlets at the rock-saprolite interface. We used detailed textural, mineralogical and chemical analyses to reconstruct the sequence of weathering reactions and their causes. The first mineral attacked by weathering was found to be pyroxene initiated by in situ Fe oxidation. Volumetric calculations suggest that this oxidation leads to the generation of porosity due to the formation of micro-fractures allowing for fluid transport and subsequent dissolution of biotite and plagioclase. The rapid ensuing plagioclase weathering leads to formation of high secondary porosity in the corestone over a distance of only a few cm and eventually to the final disaggregation of bedrock to saprolite. The first secondary phases are oxides or amorphous precipitates from which secondary minerals (mainly gibbsite, kaolinite and goethite) form. As oxidation is the first weathering reaction, the supply of O-2 is a rate-limiting factor for chemical weathering. Hence, the supply of O-2 and its consumption at depth connects processes at the weathering front with those at the Earth's surface in a feedback mechanism. The strength of the feedback depends on the relative weight of advective versus diffusive transport of O-2 through the weathering profile. The feedback will be stronger with dominating diffusive transport. The low weathering rate is explained by the nature of this feedback that is ultimately dependent on the transport of O-2 through the whole regolith, and on lithological factors such as low bedrock porosity and the amount of Fe-bearing primary minerals. Tectonic quiescence in this region and low pre-development erosion rate (attributed to a dense vegetation cover) minimize the rejuvenation of the thick and cohesive regolith column, finally leading to low denudation rates. (C) 2015 Elsevier B.V. All rights reserved.
The ICDP "PaleoVan" drilling campaign at Lake Van, Turkey, provided a long (> 100 m) record of lacustrine subsurface sedimentary microbial cell abundance. After the ICDP campaign at Potrok Aike, Argentina, this is only the second time deep lacustrine cell counts have been documented. Two sites were cored and revealed a strikingly similar cell distribution despite differences in organic matter content and microbial activity. Although shifted towards higher values, cell counts from Lake Potrok Aike, Argentina, reveal very similar distribution patterns with depth. The lacustrine cell count data are significantly different from published marine records; the most probable cause is differences in sedimentary organic matter composition with marine sediments containing a higher fraction of labile organic matter. Previous studies showed that microbial activity and abundance increase centimetres to metres around geologic interfaces. The finely laminated Lake Van sediment allowed studying this phenomenon on the microscale. We sampled at the scale of individual laminae, and in some depth intervals, we found large differences in microbial abundance between the different laminae. This small-scale heterogeneity is normally overlooked due to much larger sampling intervals that integrate over several centimetres. However, not all laminated intervals exhibit such large differences in microbial abundance, and some non-laminated horizons show large variability on the millimetre scale as well. The reasons for such contrasting observations remain elusive, but indicate that heterogeneity of microbial abundance in subsurface sediments has not been taken into account sufficiently. These findings have implications not just for microbiological studies but for geochemistry as well, as the large differences in microbial abundance clearly show that there are distinct microhabitats that deviate considerably from the surrounding layers.
The 2008 eruption of Chaiten volcano in southern Chile severely impacted several densely forested river catchments by supplying excess pyroclastic sediment to the channel networks. Our aim is to substantiate whether and how channel geometry and forest stands changed in the Rayas River following the sudden input of pyroclastic sediment. We measured the resulting changes to channel geometry and riparian forest stands along 17.6 km of the impacted gravel-bed Rayas River (294 km(2)) from multiple high-resolution satellite images, aerial photographs, and fieldwork to quantify yield volume characteristics of the forest stands. Limited channel changes during the last 60 years before the eruption reflect a dynamic equilibrium condition of the river corridor, despite the high annual precipitation and the sediment supply from Chaiten and Michinmahuida volcanoes in the headwaters. Images taken in 1945, 2004, and 2005 show that total size of the vegetated channel islands nearly doubled between 1945 and 2004 and remained unchanged between 2004 and 2005. Pyroclastic sediment entering the Rayas River after the 2008 eruption caused only minor average channel widening (7%), but killed all island vegetation in the study reach. Substantial shifts in the size distribution of in-channel vegetation patches reflect losses in total island area of 46% from 2005 to 2009 and an additional 34% from 2009 to 2012. The estimated pulsed release of organic carbon into the channel, mainly in the form of large wood from obliterated island and floodplain forests, was 78-400 tC/km/y and surpasses most documented yields from small mountainous catchments with similar rainfall, forest cover, and disturbance history, while making up between 20% and 60% of the annual carbon burial rate of fluvial sediments in the northern Patagonian fjords. We conclude that the carbon footprint of the 2008 Chaiten eruption on the Rayas River was more significant than the measured geomorphic impacts on channel geometry for the first five years following disturbance. The modest post-eruptive geomorphic response in this river is a poor indicator of its biogeochemical response. (C) 2015 Elsevier B.V. All rights reserved.
Mapping urban forest leaf area index with airborne lidar using penetration metrics and allometry
(2015)
In urban areas, leaf area index (LAI) is a key ecosystem structural attribute with implications for energy and water balance, gas exchange, and anthropogenic energy use. In this study, we estimated LAI spatially using airborne lidar in downtown Santa Barbara, California, USA. We implemented two different modeling approaches. First, we directly estimated effective LAI (LAIe) using scan angle- and clump-corrected lidar laser penetration metrics (LPM). Second, we adapted existing allometric equations to estimate crown structural metrics including tree height and crown base height using lidar. The latter approach allowed for LAI estimates at the individual tree-crown scale. The LPM method, at both high and decimated point densities, resulted in good linear agreement with estimates from ground-based hemispherical photography (r(2) = 0.82, y = 0.99x) using a model that assumed a spherical leaf angle distribution. Within individual tree crown segments, the lidar estimates of crown structure closely paralleled field measurements (e.g., r(2) = 0.87 for crown length). LAI estimates based on the lidar crown measurements corresponded well with estimates from field measurements (r(2) = 0.84, y = 0.97x + 0.10). Consistency of the LPM and allometric lidar methods was also strong at 71 validation plots (r(2) = 0.88) and at 450 additional sample locations across the entire study area (r(2) = 0.72). This level of correspondence exceeded that of the canopy hemispherical photography and allometric, ground-based estimates (r(2) = 0.53). The first-order alignment of these two disparate methods may indicate that the error bounds for mapping LAI in cities are small enough to pursue large scale, spatially explicit estimation. (C) 2015 Elsevier Inc All rights reserved.
The Tian Shan range is an inherited intracontinental structure reactivated by the far-field effects of the India-Asia collision. A growing body of thermochronology and magnetostratigraphy datasets shows that the range grew through several tectonic pulses since similar to 25 Ma, however the early Cenozoic history remains poorly constrained. The time-lag between the Eocene India-Asia collision and the Miocene onset of Tian Shan exhumation is particularly enigmatic. This peculiar period is potentially recorded along the southwestern Tian Shan piedmont. There, late Eocene marine deposits of the proto-Paratethys epicontinental sea transition to continental foreland basin sediments of unknown age were recently dated. We provide magnetostratigraphic dating of these continental sediments from the 1700-m-thick Mine section integrated with previously published detrital apatite fission track and U/Pb zircon ages. The most likely correlation to the geomagnetic polarity time scale indicates an age span from 20.8 to 13.3 Ma with a marked increase in accumulation rates at 19-18 Ma. This implies that the entire Oligocene period is missing between the last marine and first continental sediments, as suggested by previous southwestern Tian Shan results. This differs from the southwestern Tarim basin where Eocene marine deposits are continuously overlain by late Eocene-Oligocene continental sediments. This supports a simple evolution model of the western Tarim basin with Eocene-Oligocene foreland basin activation to the south related to northward thrusting of the Kunlun Shan, followed by early Miocene activation of northern foreland basin related to overthrusting of the south Tian Shan. Our data also support southward propagation of the Tian Shan piedmont from 20 to 18 Ma that may relate to motion on the Talas Fergana Fault. The coeval activation of a major right-lateral strike-slip system allowing indentation of the Pamir Salient into the Tarim basin, suggests far-field deformation from the India-Asia collision zone affected the Tian Shan and the Talas Fergana fault by early Miocene. (C) 2015 Elsevier B.V. All rights reserved.
The India-Asia suture zone of southern Tibet exposes Lower Cretaceous Xigaze ophiolites and radiolarian cherts, and time-equivalent Asian-derived clastic forearc sedimentary rocks (Xigaze Group). These ophiolites have been interpreted to have formed in the forearc of the north-dipping subduction zone below Tibet that produced the Gangdese magmatic arc around 15-20 degrees N, or in the forearc of a subequatorial intra-oceanic subduction zone. To better constrain the latitude of the ophiolites, we carried out an integrated paleomagnetic, geochronologic and stratigraphical study on epi-ophiolitic radiolarites (Chongdui and Bainang sections), and Xigaze Group turbiditic sandstones unconformably overlying the ophiolite's mantle units (Sangsang section). Detrital zircon U-Pb geochronology of tuffaceous layers from the Chongdui section and sandstones of the Xigaze Group at the Sangsang section provides maximum depositional ages of 116.5 +/- 3.1 Ma and 128.8 +/- 3.4 Ma, respectively, for the Chongdui section and an Asian provenance signature for the Xigaze Group. Paleomagnetic analyses, integrated with rock magnetic experiments, indicate significant compaction-related inclination 'shallowing' of the remanence within the studied rocks. Two independent methods are applied for the inclination shallowing correction of the paleomagnetic directions from the Sangsang section, yielding consistent mean paleolatitudes of 16.2 degrees N 113 degrees N, 20.9 degrees N] and 16.8 degrees N [11.1 degrees N, 23.3 degrees N], respectively. These results are indistinguishable from recent paleolatitude estimates for the Gangdese arc in southern Tibet. Radiolarites from the Chongdui and Bainang sections yield low paleomagnetic inclinations that would suggest a sub-equatorial paleolatitude, but the distribution of the paleomagnetic directions in these rocks strongly suggests a low inclination bias by compaction. Our data indicate that spreading of the Xigaze ophiolite occurred in the Gangdese forearc, and formed the basement of the forearc strata. (C) 2015 Elsevier B.V. All rights reserved.
The Earth's biggest magmatic events are believed to originate from massive melting when hot mantle plumes rising from the lowermost mantle reach the base of the lithosphere. Classical models predict large plume heads that cause kilometre-scale surface uplift, and narrow (100 km radius) plume tails that remain in the mantle after the plume head spreads below the lithosphere. However, in many cases, such uplifts and narrow plume tails are not observed. Here using numerical models, we show that the issue can be resolved if major mantle plumes contain up to 15-20% of recycled oceanic crust in a form of dense eclogite, which drastically decreases their buoyancy and makes it depth dependent. We demonstrate that, despite their low buoyancy, large enough thermochemical plumes can rise through the whole mantle causing only negligible surface uplift. Their tails are bulky (4200 km radius) and remain in the upper mantle for 100 millions of years.
Runoff, especially during summer months, and low flows have decreased in Central and Eastern Europe during the last decades. A detailed knowledge on predictors and dependencies between meteorological forcing, catchment properties and low flow is necessary to optimize regional adaption strategies to sustain minimum runoff. The objective of this study is to identify low flow predictors for 16 small catchments in Northeast Germany and their long-term shifts between 1965 and 2006. Non-linear regression models (support vector machine regression) were calibrated to iteratively select the most powerful low flow predictors regarding annual 30-day minimum flow (AM(30)). The data set consists of standardized precipitation (SPI) and potential evapotranspiration (SpETI) indices on different time scales and lag times. The potential evapotranspiration of the previous 48 and 3 months, as well as the precipitation of the previous 3 months and last year were the most relevant predictors for AM(30). Pearson correlation (r(2)) of the final model is 0.49 and if for every year the results for all catchments are averaged r(2) increases to 0.80 because extremes are smoothing out. Evapotranspiration was the most important low flow predictor for the study period. However, distinct long-term shifts in the predictive power of variables became apparent. The potential evapotranspiration of the previous 48 months explained most of the variance, but its relevance decreased during the last decades. The importance of precipitation variables increased with time. Model performance was higher at catchments with a more damped discharge behavior. The results indicate changes in the relevant processes or flow paths generating low flows. The identified predictors, temporal patterns and patterns between catchments will support the development of low flow monitoring systems and determine those catchments where adaption measures should aim more at increasing groundwater recharge. (C) 2014 Elsevier B.V. All rights reserved.
Profundal lake sediment cores are often interpreted in line with diverse and detailed sedimentological processes to infer paleoenvironmental conditions. The effects of frozen lake surfaces on terrigenous sediment deposition and how climate changes on the Tibetan Plateau are reflected in these lakes, however, is seldom discussed. A lake sediment core from Hala Lake (590 km(2)), northeastern Tibetan Plateau spanning the time interval from the Last Glacial Maximum to the present was investigated using high-resolution grain-size composition of lacustrine deposits. Seismic analysis along a north-south profile across the lake was used to infer the sedimentary setting within the lake basin. Periods of freezing and melting processes on the lake surface were identified by MODIS (MOD10A1) satellite data. End-member modeling of the grain size distribution allowed the discrimination between lacustrine, eolian and fluvial sediments. The dominant clay sedimentation (slack water type) during the global Last Glacial Maximum (LGM) reflects ice interceptions in long cold periods, in contrast to abundant eolian input during abrupt cold events. Therefore, fluvial and slack water sedimentation processes can indicate changes in the local paleoclimate during periods of the lake being frozen, when eolian input was minor. Inferred warm (i.e., similar to 22.7 and 19.5 cal. ka BP) and cold (i.e., similar to 11-9 and 3-1.5 cal. ka BP) spells have significant environmental impacts, not only in the regional realm, but they are also coherent with global-scale climate events. The eolian input generally follows the trend of the mid-latitude westerly wind dynamics in winter, contributing medium-sized sand to the lake center, deposited within the ice cover during icing and melting phases. Enhanced input was dominant during the Younger Dryas, Heinrich Event 1 and at around 8.2 ka, equivalent to the well-known events of the North Atlantic realm. (C) 2015 Elsevier Ltd. All rights reserved.
Limits to lichenometry
(2015)
Lichenometry is a straightforward and inexpensive method for dating Holocene rock surfaces. The rationale is that the diameter of the largest lichen scales with the age of the originally fresh rock surface that it colonised. The success of the method depends on finding the largest lichen diameters, a suitable lichen-growth model, and a robust calibration curve. Recent critique of the method motivates us to revisit the accuracy and uncertainties of lichenometry. Specifically, we test how well lichenometry is capable of resolving the ages of different lobes of large active rock glaciers in the Kyrgyz Tien Shan. We use a bootstrapped quantile regression to calibrate local growth curves of Xanthoria elegans, Aspicilia tianshanica, and Rhizocarpon geographicum, and report a nonlinear decrease in dating accuracy with increasing lichen diameter. A Bayesian type of an analysis of variance demonstrates that our calibration allows discriminating credibly between rock-glacier lobes of different ages despite the uncertainties tied to sample size and correctly identifying the largest lichen thalli. Our results also show that calibration error grows with lichen size, so that the separability of rock-glacier lobes of different ages decreases, while the tendency to assign coeval ages increases. The abundant young (<200 yr) specimen of fast-growing X elegans are in contrast with the fewer, slow-growing, but older (200-1500 yr) R. geographicum and A. tianshanica, and record either a regional reactivation of lobes in the past 200 years, or simply a censoring effect of lichen mortality during early phases of colonisation. The high variance of lichen sizes captures the activity of rock-glacier lobes, which is difficult to explain by regional climatic cooling or earthquake triggers alone. Therefore, we caution against inferring palaeoclimatic conditions from the topographic position of rock-glacier lobes. We conclude that lichenometry works better as a tool for establishing a relative, rather than an absolute, chronology of rock-glacier lobes in the northern Tien Shan. (C) 2015 Elsevier Ltd. All rights reserved.
The Southern and Northern-Central Tian Shan are sharply different in the character of the evolution of Cretaceous-Paleogene magmatism. The Southern Tian Shan comprises a picrobasalt-trachybasalt-basanite-phonotephrite-phonolite volcanic series, which was formed over a considerable time interval from 122 to 46 Ma, whereas the Northern-Central Tian Shan hosts a foidite-basanite-trachybasalt-basaltbasaltic andesite volcanic association, which erupted within a rather narrow time interval between 61 and 53 Ma. The entire volcanic series of the former region was derived from a shallow garnet-free mantle source. The volcanic assemblage of the latter region included basanites and foidites derived from a deep garnet-bearing mantle source, whereas trachybasalt, basalt, and basaltic andesite melts were generated in the lower crust. It is supposed that the change of sources and different evolutionary trends of Cretaceous-Paleogene magmatism in the Southern and Northern-Central Tian Shan were caused by the activation of the heterogeneous lithosphere beneath the converging shores of the Late Paleozoic Turkestan paleoocean.
Piggyback basins on the margins of growing orogens commonly serve as sensitive recorders of the onset of thrust deformation and changes in source areas. The Bieertuokuoyi piggyback basin, located in the hanging wall of the Pamir Frontal Thrust, provides an unambiguous record of the outward growth of the northeast Pamir margin in northwest China from the Miocene through the Quaternary. To reconstruct the deformation along the margin, we synthesized structural mapping, stratigraphy, magnetostratigraphy, and cosmogenic burial dating of basin fill and growth strata. The Bieertuokuoyi basin records the initiation of the Pamir Frontal Thrust and the Takegai Thrust similar to 5-6Ma, as well as clast provenance and paleocurrent changes resulting from the Pliocene-to-Recent uplift and exhumation of the Pamir to the south. Our results show that coeval deformation was accommodated on the major structures on the northeast Pamir margin throughout the Miocene to Recent. Furthermore, our data support a change in the regional kinematics around the Miocene-Pliocene boundary (similar to 5-6Ma). Rapid exhumation of NE Pamir extensional domes, coupled with cessation of the Kashgar-Yecheng Transfer System on the eastern margin of the Pamir, accelerated the outward propagation of the northeastern Pamir margin and the southward propagation of the Kashi-Atushi fold-and-thrust belt in the southern Tian Shan. This coeval deformation signifies the coupling of the Pamir and Tarim blocks and the transfer of shortening north to the Pamir frontal faults and across the quasi-rigid Tarim Basin to the southern Tian Shan Kashi-Atushi fold-and-thrust system.
A tectonic slice of an arc sequence consisting of low-grade metavolcanic rocks and overlying metasedimentary succession is exposed in the Central Pontides north of the Izmir-Ankara-Erzincan suture separating Laurasia from Gondwana-derived terranes. The metavolcanic rocks mainly consist of basaltic andesite/andesite and mafic cognate xenolith-bearing rhyolite with their pyroclastic equivalents, which are interbedded with recrystallized pelagic limestone and chert. The metasedimentary succession comprises recrystallized micritic limestone with rare volcanogenic metaclastic rocks and stratigraphically overlies the metavolcanic rocks. The geochemistry of the metavolcanic rocks indicates an arc setting evidenced by depletion of HFSE (Ti, P and Nb) and enrichment of fluid mobile LILE. Identical trace and rare earth elements compositions of basaltic andesites/andesites and rhyolites suggest that they are cogenetic and derived from a common parental magma. The arc sequence crops out between an Albian-Turonian subduction-accretionary complex representing the Laurasian active margin and an ophiolitic melange. Absence of continent derived detritus in the arc sequence and its tectonic setting in a wide Cretaceous accretionary complex suggest that the Kosdag Arc was intra-oceanic. Zircons from two metarhyolite samples give Late Cretaceous (93.8 +/- 1.9 and 94.4 +/- 1.9 Ma) U/Pb ages. These ages are the same as the age of the supra-subduction ophiolites in western Turkey, which implies that that the Kosdag Arc may represent part of the incipient arc formed during the generation of the supra-subduction ophiolites. The low-grade regional metamorphism in the Kosdag Arc is constrained to 69.9 +/- 0.4 Ma by Ar-40/Ar-39 muscovite dating indicating that the arc sequence became part of a wide Tethyan Cretaceous accretionary complex by the latest Cretaceous. Non-collisional cessation of the arc volcanism is possibly associated with southward migration of the magmatism as in the Izu-Bonin-Mariana arc system. (c) 2015 Elsevier Ltd. All rights reserved.
The specific chemical composition of monazite in shear zones is controlled by the syndeformation dissolution-precipitation reactions of the rock-forming minerals. This relation can be used for dating deformation, even when microfabric characteristics like shape preferred orientation or intracrystalline deformation of monazite itself are missing. Monazite contemporaneously formed in and around the shear zones may have different compositions. These depend on the local chemical context rather than reflecting successive crystallization episodes of monazite.
This is demonstrated in polymetamorphic, mylonitic high-pressure (HP) garnet-kyanite granulites of the Alpine Sidironero Complex (Rhodope UHP terrain, Northern Greece). The studied mylonitic rocks escaped from regional migmatization at 40-36 Ma and from subsequent shearing through cooling until 36 Ma. In-situ laser-ablation split-stream inductively-coupled plasma mass spectrometry (LASS) analyses have been carried out on monazite from micro-scale shear zones, from pre-mylonitic microlithons as well as of monazite inclusions in relictic minerals complimented by U-Pb data on rutile and Rb-Sr data of biotite.
Two major metamorphic episodes, Mesozoic and Cenozoic, are constrained. Chemical compositions, isotopic characteristics and apparent ages systematically vary among monazite of four different microfabric domains (I-IV). Within three pre-mylonitic domains (inclusions in (I) pre-mylonitic kyanite and (II) garnet porphyroclasts, and (III) in pre-mylonitic microlithons) monazite yields ages of ca. 130-150 Ma for HP-granulite metamorphism, in line with previous geochronological results in the area. Patchy alteration of the pre-mylonitic monazite by intra-grain dissolution-precipitation processes variably increased negative Eu anomaly and reduced the HREE contents. The apparent age of this altered monazite is reduced.
Monazite in the syn-mylonitic shear bands (IV) differs in chemical composition from unaltered and altered monazite of the three pre-mylonitic domains by having a significantly more pronounced negative Eu anomaly, a flatter HREE pattern, and high Th content. These compositional characteristics are linked with syn-mylonitic formation of plagioclase and resorption of garnet in the shear bands under amphibolite fades conditions. The absence of pre-mylonitic monazite in the shear zones, in contrast to the other domains, suggests complete dissolution of old and formation of new monazite. This probably results from an increased alkalinity and reactivity of the fluid that again is controlled by syn-mylonitic interaction with feldspar and apatite in the shear zones. There, the deformation was accommodated by dissolution precipitation creep at ca. 690 +/- 50 degrees C and 6-7.5 kbar. Growth of monazite at 55 +/- 1 Ma dates this deformation, which precedes the regional migmatization of the Sidironero Complex, whereas rutile and biotite ages reflect these later stages. This new pressure-temperature-time constraint for a relictic deformation structure provides insight into the still missing parts of the overall metamorphic, deformation and exhumation processes of the UHP units in the Rhodope. (C) 2015 Elsevier B.V. All rights reserved.
Mass wasting is an important process for denuding hillslopes and lowering ridge crests in active mountain belts such as the Himalaya-Karakoram ranges (HKR). Such a high-relief landscape is likely to be at its mechanical threshold, maintained by competing rapid rock uplift, river incision, and pervasive slope failure. We introduce excess topography, Z(E), for quantifying potentially unstable rock-mass volumes inclined at angles greater than a specified threshold angle. We find that Z(E) peaks along major fluvial and glacial inner gorges, which is also where the majority of 492 large (>0.1 km(2)) rock-slope failures occur in the Himalaya's largest cluster of documented Pleistocene to Holocene bedrock landslides. Our data reveal that bedrock landslides in the HKR chiefly detached from near or below the median elevation, whereas glaciers and rock glaciers occupy higher-elevation bands almost exclusively. Less than 10% of the area of the HKR is upslope of glaciers, such that possible censoring of evidence of large bedrock landslides above the permanent snow line barely affects this finding. Bedrock landslides appear to preferentially undermine topographic relief in response to fluvial and glacial incision along inner gorges, unless more frequent and smaller undetected failures, or rigorous (peri-)glacial erosion, compensate for this role at higher elevation. Either way, the distinct patterns of excess topography and large bedrock landsliding in the HKR juxtapose two stacked domains of landslide and (peri-)glacial erosion that may respond to different time scales of perturbation. Our findings call for more detailed analysis of vertical erosional domains and their geomorphic coupling in active mountain belts.
Ground loop-loop electromagnetic surveys are often conducted to fulfill the low-induction-number condition. To image the distribution of electric conductivity inside the ground, it is then necessary to collect a multioffset data set. We considered that less time-consuming constant offset measurements can also reach this objective. This can be achieved by performing multifrequency soundings, which are commonly performed for the airborne electromagnetic method. Ground multifrequency soundings have to be interpreted carefully because they contain high-induction-number data. These data are interpreted in two steps. First, the in-phase and out-of-phase data are converted into robust apparent conductivities valid for all the induction numbers. Second, the apparent conductivity data are inverted in 1D and 2D to obtain the true distribution of the ground conductivity. For the inversion, we used a general half-space Jacobian for the apparent conductivity valid for all the induction numbers. This method was applied and validated on synthetic data computed with the full Maxwell theory. The method was then applied on field data acquired in the test site of Provins, in the Parisian basin, France. The result revealed good agreement with borehole and geologic information, demonstrating the applicability of our method.
Information on extreme precipitation for future climate is needed to assess the changes in the frequency and intensity of flooding. The primary source of information in climate change impact studies is climate model projections. However, due to the coarse resolution and biases of these models, they cannot be directly used in hydrological models. Hence, statistical downscaling is necessary to address climate change impacts at the catchment scale.
This study compares eight statistical downscaling methods (SDMs) often used in climate change impact studies. Four methods are based on change factors (CFs), three are bias correction (BC) methods, and one is a perfect prognosis method. The eight methods are used to downscale precipitation output from 15 regional climate models (RCMs) from the ENSEMBLES project for 11 catchments in Europe. The overall results point to an increase in extreme precipitation in most catchments in both winter and summer. For individual catchments, the downscaled time series tend to agree on the direction of the change but differ in the magnitude. Differences between the SDMs vary between the catchments and depend on the season analysed. Similarly, general conclusions cannot be drawn regarding the differences between CFs and BC methods. The performance of the BC methods during the control period also depends on the catchment, but in most cases they represent an improvement compared to RCM outputs. Analysis of the variance in the ensemble of RCMs and SDMs indicates that at least 30% and up to approximately half of the total variance is derived from the SDMs. This study illustrates the large variability in the expected changes in extreme precipitation and highlights the need for considering an ensemble of both SDMs and climate models. Recommendations are provided for the selection of the most suitable SDMs to include in the analysis.
For karstified aquifer systems, numerical models of groundwater flow are difficult to setup and parameterize. However, a system understanding useful for groundwater management may be obtained without applying overly complicated models. In this study, we demonstrate for a karstified carbonate aquifer in south-western Germany that a combination of methods with moderate data requirements can be used to infer flowpaths and transit times of groundwater to production wells.
The study reported here evaluates the degree to which metals, salt anions and organic compounds are released from shales by exposure to water, either in its pure form or mixed with additives commonly employed during shale gas exploitation. The experimental conditions used here were not intended to simulate the exploitation process itself, but nevertheless provided important insights into the effects additives have on solute partition behaviour under oxic to sub-oxic redox conditions.
In order to investigate the mobility of major (e.g. Ca, Fe) and trace (e.g. As, Cd, Co, Mo, Pb, U) elements and selected organic compounds, we performed leaching tests with black shale samples from Bornholm, Denmark and Lower Saxony, Germany. Short-term experiments (24 h) were carried out at ambient pressure and temperatures of 100 degrees C using five different lab-made stimulation fluids. Two long-term experiments under elevated pressure and temperature conditions at 100 degrees C/100 bar were performed lasting 6 and 2 months, respectively, using a stimulation fluid containing commercially-available biocide, surfactant, friction reducer and clay stabilizer.
Our results show that the amount of dissolved constituents at the end of the experiment is independent of the pH of the stimulation fluid but highly dependent on the composition of the black shale and the buffering capacity of specific components, namely pyrite and carbonates. Shales containing carbonates buffer the solution at pH 7-8. Sulphide minerals (e.g. pyrite) become oxidized and generate sulphuric acid leading to a pH of 2-3. This low pH is responsible for the overall much larger amount of cations dissolved from shales containing pyrite but little to no carbonate. The amount of elements released into the fluid is also dependent on the residence time, since as much as half of the measured 23 elements show highest concentrations within four days. Afterwards, the concentration of most of the elemental species decreased pointing to secondary precipitations. Generally, in our experiments less than 15% of each analysed element contained in the black shale was mobilised into the fluid. (C) 2015 Elsevier Ltd. All rights reserved.
In the last decade record-breaking rainfall events have occurred in many places around the world causing severe impacts to human society and the environment including agricultural losses and floodings. There is now medium confidence that human-induced greenhouse gases have contributed to changes in heavy precipitation events at the global scale. Here, we present the first analysis of record-breaking daily rainfall events using observational data. We show that over the last three decades the number of record-breaking events has significantly increased in the global mean. Globally, this increase has led to 12 % more record-breaking rainfall events over 1981-2010 compared to those expected in stationary time series. The number of record-breaking rainfall events peaked in 2010 with an estimated 26 % chance that a new rainfall record is due to long-term climate change. This increase in record-breaking rainfall is explained by a statistical model which accounts for the warming of air and associated increasing water holding capacity only. Our results suggest that whilst the number of rainfall record-breaking events can be related to natural multi-decadal variability over the period from 1901 to 1980, observed record-breaking rainfall events significantly increased afterwards consistent with rising temperatures.